Financial Projections 2014-2019
See more projectsIntensity
42hr/week
Est. Duration
1day
Location
Remote
Project Overview
8 to 15 years professional experience
Finance & Accounting - Corporate Finance
I have developed financial projections (Excel) for six years (2014-2019; since 2014 financial statement is not yet available, it is still projections) based on a financial model. I am having problem balancing the Balance Sheet, that is, by coming up with Total Assets= Total Liabilities + Owners Equity. All input and other data are presented in the spreadsheet as following Sheets: Start Page; Historic Data (actual data 2009-2013;); Capex (Capital Expenditures); Inputs; Financing; Tax; Fin Stmts (Financial Statements); and Summary. Need to ensure that all inputs as inputted are correct. Historic data is actual so it will not change. Have to look at the calculations in the Sheets: Capex, inputs, financing and tax. There may be some changes and /or corrections in these sheets as the result of the review). Finalized Sheets Fin Stmts comprising Income Statemenst, Cash Flow Statements and Balance sheets are the main deliverables. The spreadsheet will be formatted a little to look better
Additional Notes
Extensive financial projections experience in infrastructure projects using Excel (power, water/sewerage) Preferred Skills and Certifications
Functional
Corporate Finance
About The Client
10 years
Time On Graphite