Consolidation of Financial Statements of 2 companies and P&L Financial Plan
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20 plus years of exposure of assisting its clients in Financial Modelling, Company valuations for Fund Raising in various stages of FR life cycle.
New Delhi
Expert in Writing Business Plans l Investor Memorandums l Market Research l Financial Projections & Business Valuations
Delhi
Microsoft Certified Power BI Data Analyst & Advance Excel Specialist¦Professional Power BI consultant ¦ (ACCA)- Chartered Certified Accountant ¦ Accounting- Reconciliations ¦DAX ¦Data Models ¦
Doha
Chartered Accountant| Excel|Word|Data Entry|PDF Conversions|Xero|Quickbooks|Financial Statements|IFRS
Dubai
13140071237993288524003286459001082215140641614069291429861143806714576771543515
Description
Experience Level: Intermediate
General information for the business: financial analysis
Industry: Technology
Description of excel work: need a consolidated financial statement for the announced merger between QCOM and NXP. Tasks
a) consolidate existing P&L, Cash Flow and Balance Sheet into a new pro-forma post merger statement
b) create input variables that allow to change future financial projections e.g.:
- revenue growth (in %)
- synergies, e.g. allow to assign a % synergy (=cost reduction) to various SG&A line items
c) project cash flow and net debt / net cash positions based on projected cash flows
d) develop discounted cash flow model (can be provided in raw form if needed and you only need to copy the correct data into it)
e) calculate EPS per Share
all base data, financial statement etc. will be provided in excel.
Extra notes: you need to be familiar with accounting, excel and financial modeling
Industry: Technology
Description of excel work: need a consolidated financial statement for the announced merger between QCOM and NXP. Tasks
a) consolidate existing P&L, Cash Flow and Balance Sheet into a new pro-forma post merger statement
b) create input variables that allow to change future financial projections e.g.:
- revenue growth (in %)
- synergies, e.g. allow to assign a % synergy (=cost reduction) to various SG&A line items
c) project cash flow and net debt / net cash positions based on projected cash flows
d) develop discounted cash flow model (can be provided in raw form if needed and you only need to copy the correct data into it)
e) calculate EPS per Share
all base data, financial statement etc. will be provided in excel.
Extra notes: you need to be familiar with accounting, excel and financial modeling
Rene H.
100% (10)Projects Completed
15
Freelancers worked with
14
Projects awarded
63%
Last project
23 May 2023
United States
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