What you get with this Offer
A cash flow forecast is an important management tool. You can use it to monitor actual expenses against planned expenses, to anticipate and budget for coming expenses, and to formulate credit and collection policies. It also serves as an early indicator for expenditures that are getting out of hand. Refer to it often and use it to your advantage. This can be used to attract investment, business planning purpose, for financial part of the business plan of start up business or on going business.
Financial forecasting includes but not limited:
1) 3 year monthly profit and loss statement
2) 3 year annual profit and loss statement
3) Balance sheet as at every year end.
4) 3 year projected cash flow statements.
Please message me and let's discuss your project. Thanks
What the Freelancer needs to start the work
1) I will share with you templates for the required information, i hope these templates will save your time.
2) I need the assumptions of your financial figures, such as x number of sales in the start of month, sales price, growth rate, inflation rate, monthly expense, start up expenses.
3) in case if you have your own excel file for the projection please do share with me.
Great Working with Maheer as usual, very fast and accurate work.
Thank you very much for your kinds and honest words. Hope to see you again!
It was great working with Maher, he was very patient, was very quick to respond to messages, polite and knows his Job very well.
I would highly recommend working with Maher for financial forecasting and i'm looking forward to working with him in the future.
Great work Maher!!!
Thank you very much for your kind words.