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I'm looking for an expert in Excel to help forecast financial data. The forecast will need to cover: - Revenue - Expenses - Cash flow The forecasts need to be updated once. Ideal Skills and Experience: - Proficiency in Excel, especially in financial modeling and forecasting. - Experience with financial data analysis. - Attention to detail and accuracy. - Ability to deliver high-quality work within budget.
Project ID: 40525156
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Active 7 days ago
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54 freelancers are bidding on average £154 GBP for this job

With a wealth of experience in Excel financial modeling, data analysis, and visualization, we have what it takes to provide you with accurate, detailed, and comprehensive financial forecasting. Our proficiency in Excel extends to macros/VBA, power BI, dashboarding; pivot tables, just to mention a few. We also possess the accounting brilliance needed for effective revenue, expense and cash flow structure. Explore my impressive profile here: https://www.freelancer.pk/u/utrathore3 . Note: "Delivering success is our commitment. To achieve this, we carefully assess your project's scope, and then provide customized costs and timelines that meet your unique needs." Thanks and Best Regards, Usman Tariq Rathore Work-Nix Solutions
£20 GBP in 1 day
8.2
8.2

As an experienced financial expert, I possess a deep understanding of predicting business trends by meticulously analyzing data, and Excel is my go-to tool for this purpose. My expertise expands into not only revenue and expenses prediction, but also constructing comprehensive cash flow models. I've helped numerous clients across diverse sectors like yourself to make informed decisions with accurate financial forecasts. In addition to impeccable forecasting skills, I offer a range of other valuable services such as financial analysis, business valuation, market research and feasibility studies, which will further enrich our project. My proficiency in Power BI and Tableau is an asset too, as incorporating dynamic and visually appealing dashboards into our work will ensure concise and easy understanding of the data. Lastly, what sets me apart is my commitment to your ultimate satisfaction. I understand that a budget can be tight and inefficiency is neither cost-effective nor time-appropriate. Hence, I not only deliver high-quality work on time but strive to exceed expectations by offering free continuous support even after the contract ends. Let's bring your project to life together by leveraging my skills to achieve maximum results.
£45 GBP in 1 day
7.9
7.9

Hi there, I have carefully reviewed the project requirements for the Excel Financial Forecasting Specialist position and am excited to offer my expertise in financial modeling and forecasting. Let's chat and discuss it further. To handle your project, I will start with analyzing historical financial data to create accurate revenue, expenses, and cash flow forecasts in Excel. Leveraging my proficiency in Excel, financial modeling, and data analysis, I will ensure the forecasts are detailed and precise. The deliverables of the project will include comprehensive financial forecasts covering revenue, expenses, and cash flow, all updated as per your requirements. Before signing-off my bid, I would like to ask a question, i.e., "Could you please provide any specific data sources or templates to guide the forecasting process?" Warm Regards, Aneesa.
£250 GBP in 1 day
7.0
7.0

Hello, I can help update and refine your Excel-based financial forecasts for revenue, expenses, and cash flow with a focus on accuracy, transparency, and practical business insights. My approach: • Review existing assumptions, formulas, and forecasting logic • Update revenue projections using the latest available data • Rework expense forecasts and validate cost drivers • Refresh cash flow projections and identify any timing or liquidity risks • Check formulas, links, and calculations for accuracy • Document key assumptions and changes for future reference Deliverables: • Updated Excel forecast model • Revenue, Expense, and Cash Flow forecasts • Clean, error-free formulas and calculations • Brief summary of assumptions, changes, and recommendations I have experience in financial modeling, budgeting, forecasting, cash flow analysis, and Excel automation. My focus is delivering a reliable model that is easy to understand, maintain, and update as new data becomes available. I can start immediately and provide a quick turnaround while ensuring all forecasts are properly validated. Best regards, Ayaz Akhtar
£70 GBP in 1 day
6.8
6.8

With over a decade of managerial experience specifically involving the preparation of financial statements and projections. I truly understand the importance of accurate financial forecasting. My expertise lies in using advanced Excel features and efficient data analysis. This aligns perfectly with your need to forecast revenue, expenses, and cash flow with precision. My proficiency in financial modeling and research will ensure that your forecasts are not only detailed, accurate but also highly reliable. I am well-versed in creating dynamic templates for business projections specifically tailored for presentations, which can be an asset to your project when it comes to sharing the results with potential investors or other stakeholders. Lastly, my ability to deliver high-quality work within budget has been proven by my long-standing career as a freelancer. My meticulous attention to detail will guarantee that your project is always treated with utmost professionalism to meet or exceed your expectations. Let's bring your financial data to life through effective forecasting together!
£55 GBP in 2 days
6.4
6.4

CPA License holder Hi, I am an experienced Associate Member the Certified Cost and Management Accountant (ACMA), a Financial Analyst and a Certified Public Accountant (CPA) with more than 7+ years' experience in finance. I have gone through your project with interest, and it seems a perfect match with my skills. May I ask you a few questions about your project? What’s the principal activity of your business? Do you have any specific reporting requirements? When would you like to start? I have been providing financial modelling, business analysis, business plans, financial analysis, financial forecasting, Excel, advanced Excel, Visual Basic, payroll, data processing, data entry, finance, accounting, and financial research services and have more than 3+ years with a top-rated audit firm (KPMG), during which I have dealt with a number of clients and provided them extremely satisfactory services. Apart from that, I am also highly proficient in different accounting software packages like Excel, Advanced Excel, QuickBooks, Intuit QuickBooks, Xero, Microsoft Dynamics, Enterprise and more. I am a fast learner, problem solver, detail-orientated and highly organised. Looking forward to hearing from you soon! Looking forward to hearing from you Best regards. Zakwan
£99 GBP in 1 day
6.5
6.5

Hi there, We can help build and update an Excel-based forecast for revenue, expenses, and cash flow using your existing data and assumptions. Our focus will be on a clean, reliable model with clear formulas, sensible structure, and easy-to-follow outputs. We work carefully with financial data analysis and spreadsheet modelling, so the updated forecast is practical and transparent. If you already have a workbook, we can refine it; if not, we can structure one from the supplied figures and notes. Best Regards, 8veer
£250 GBP in 2 days
6.3
6.3

Hi, I’d be happy to assist with your financial forecasting project. I have strong experience in Excel-based financial modeling, forecasting, and data analysis, helping businesses create accurate projections for revenue, expenses, and cash flow. For this project, I will: • Build a clear and professional forecasting model in Excel • Develop forecasts for revenue, expenses, and cash flow based on your historical data • Use appropriate formulas and forecasting methods to ensure accuracy • Provide a well-structured workbook that is easy to understand and update • Include one revision/update of the forecast as requested My focus is on delivering reliable, detail-oriented financial projections that support informed decision-making. I can start immediately and provide a quick turnaround while maintaining accuracy and quality. I look forward to reviewing your data and discussing your requirements. Best regards, Moiz
£135 GBP in 7 days
5.4
5.4

Hi I can help build a clean Excel financial forecast covering revenue, expenses, and cash flow with linked assumptions, formulas, and summary views. The main technical challenge is making the forecast accurate and easy to review, so every line should flow from clear drivers instead of hard-coded numbers. My approach would include cleaning the source data, structuring historical results, setting forecast assumptions, and building projections using Excel formulas, tables, charts, and scenario inputs. I can add variance checks, cash-flow logic, error flags, and formatting so the workbook is reliable for decision-making. I’m comfortable with financial modeling, P&L forecasting, cash flow forecasting, Excel functions, pivot tables, charts, and data validation. The final file will be organized with separate tabs for inputs, calculations, outputs, and notes. I’ll also provide brief hand-off notes so you can understand the assumptions and update the model later if needed. Thanks, Hercules
£1,000 GBP in 7 days
5.1
5.1

Hello, I am interested in assisting with your Excel financial forecasting project. I have experience building and refining financial models, forecasts, budgeting tools, and analytical spreadsheets designed to support informed business decision-making. I can develop a clear, accurate, and fully editable forecasting model that incorporates key financial assumptions, scenario analysis, revenue projections, expense tracking, and cash flow forecasting as required. My focus is on creating models that are both technically sound and easy to understand and maintain. What I can provide: • Professional Excel-based financial forecasting models • Dynamic formulas and automated calculations • Scenario and sensitivity analysis • Clean formatting and intuitive dashboards • Thorough validation and error checking • Clear documentation and organized workbook structure I pay close attention to accuracy, transparency, and usability, ensuring the final model delivers meaningful insights while remaining easy to update as business conditions change. I would be happy to discuss your forecasting requirements, data availability, and project objectives in more detail. I look forward to working with you. Best regards
£20 GBP in 1 day
5.0
5.0

Affordable, Early Delivery. ★★★★★★★★★★★★★★I hold a Masters degree which gives me the requisite background to handle writing from various subjects. I am a highly committed person towards my work. You can rely on QualityXenter for quality and consistency in writing. We never violate copyright rules. I have vast amount of experience in this industry since I am working from 2015 as a professional writer. I provide many modifications till to get your satisfactions. I have access to enough journals to use in your research project. I always produce quality work at VERY LOW RATES so, don't worry if you have a low budget for your work, I will be very happy to make a new client like you. I am producing quality work for my clients including ARTICLE WRITING, REPORT WRITING, ESSAY WRITING, RESEARCH PAPERS, BUSINESS PLAN, TECHNICAL WRITING, MATLAB, THESIS, ACCOUNTING & FINANCE work ETC. Go through my profile link https://www.freelancer.com/u/qualityxenter
£20 GBP in 1 day
4.7
4.7

Hello, I am experienced in Excel-based financial modeling, forecasting, and data analysis. I can create accurate forecasts for revenue, expenses, and cash flow using well-structured Excel models. What I can deliver: • Revenue forecasting model • Expense forecasting model • Cash flow projection • Clear formulas and documentation • One revision/update as requested I pay close attention to accuracy and can provide a professional, easy-to-understand workbook within your budget and deadline. I would be happy to discuss your data structure and forecasting requirements in more detail. Thank you for your consideration. Best regards
£20 GBP in 1 day
4.8
4.8

I understand you need a robust Excel-based financial forecast, similar to the scenario where I developed dynamic revenue projections and expense variance analysis for a SaaS startup, reducing forecasting time by 30% through streamlined model architecture. My approach will leverage advanced Excel functions and data structuring techniques to ensure accuracy and efficiency in projecting revenue, expenses, and cash flow. My technical strategy involves building a modular forecast model. I'll utilize lookup functions (VLOOKUP/XLOOKUP) and array formulas for data integration, alongside time-series analysis principles for revenue and expense drivers. Conditional formatting and data validation will ensure accuracy and user-friendliness. The cash flow projection will be derived directly from these inputs, incorporating working capital adjustments as needed. I'll focus on clear layout and formula transparency for easy updates. To ensure the forecast precisely meets your needs, could you clarify the primary drivers you'd like to see emphasized for revenue and expense forecasting? Also, what is your preferred granularity for the forecast period (e.g., monthly, quarterly)? I'm available for a brief call to discuss these points and how I can deliver a high-quality, accurate forecast for you.
£179 GBP in 21 days
4.0
4.0

Hi there, I see you need accurate Excel-based financial forecasts for revenue, expenses, and cash flow. I have experience building reliable financial models and can deliver a well-structured forecast with one revision included. I focus on accuracy, clear formulas, and timely delivery while staying within your budget. Thanks and regards Hafiz Muhammad Iqbal.
£20 GBP in 7 days
3.6
3.6

Heyy, I can help you professionally build a clear, accurate, and easy-to-update financial forecasting model in Excel covering revenue, expenses, and cash flow in a structured and decision-ready format. 1 Build a clean Excel financial model that forecasts revenue, expenses, and cash flow using logical assumptions, formulas, and structured inputs so the model remains easy to update and adjust in the future. 2 Organise the workbook into clearly defined sections (inputs, calculations, and outputs) ensuring full transparency, auditability, and ease of use for future updates. 3 Apply proper financial structuring including monthly/period-based forecasting, summary dashboards, and key performance indicators for better financial visibility. 4 Ensure accuracy and reliability through formula consistency checks, error minimisation, and formatting that makes the model presentation-ready for stakeholders or decision-makers Let’s connect and build a strong financial forecasting tool that gives you clear insight into your revenue, expenses, and cash flow. Warm Regards, Neha H
£200 GBP in 7 days
3.4
3.4

With a long-standing career of over nine years under my belt, I have honed my proficiency in Excel to an exceptional degree, particularly when it comes to financial modeling and forecasting. Throughout my professional journey, I have actively interfaced with data sets encompassing revenue, expenses, and cash flow – making me more than familiar with the areas where you need insights. My diligent attention to detail will ensure precise forecasts which can be readily updated as per your requirements. Beyond just my Excel skills, I bring a robust skill set in financial research and statistics that are necessary for this project. Both of these skills are heavily reliant on accuracy and high-quality results - both aspects that I pride myself on consistently delivering. I've also navigated countless financial reports for clients over the years--intensively analyzing them just like the one you've got in mind; this positions me well to uncover meaningful trends and generate valuable insights from complex financial data.
£20 GBP in 1 day
3.5
3.5

Hi, I would like to start immediately on your financial forecasting project. I am an Excel expert with experience in financial modeling, forecasting, and data analysis. I can build accurate forecasts for revenue, expenses, and cash flow using proven forecasting techniques and well-structured Excel models. I will ensure the forecasts are clear, reliable, and easy to update, and I can also provide the required forecast revision/update once completed. My expertise includes: • Financial forecasting and budgeting • Revenue, expense, and cash flow modeling • Advanced Excel formulas and analysis • Data validation and accuracy checks • Professional, easy-to-understand reporting I am detail-oriented, committed to accuracy, and confident in delivering high-quality results within your budget and timeline. I am available to begin right away and would be happy to discuss your data and requirements. Best regards, Zeenat Muzaffar
£100 GBP in 1 day
3.7
3.7

As an expression of the varied skills my team and I possess, we can seamlessly handle your Excel financial forecasting needs. Over the past dozen years, our work has revolved around crafting top-notch software solutions for such financial endeavors. We understand that perfect projections of revenue, expenses, and cash flow are foundational to business growth and sustainability. That’s why accuracy and attention to detail are deeply ingrained in everything we do. Our proficiency in Excel paired with our extensive background in financial modeling and data analysis empowers us to deliver the highest quality financial forecasts within budgetary constraints. We have a profound understanding of how crucial it is to update these forecasts promptly, and any delay could lead to missed opportunities or inadequate decision-making. Our commitment to reliability drives us to ensure that your financial data stays updated correctly and in good time. Moreover, our experience serving various clients globally will be a crucial asset as we engage with your project. It has broadened our perspective and honed our adaptability to different industries' specific demands. Choosing us for your project signifies choosing expertise, meticulousness, security, scalability, long-term support and absolute adherence to enterprise-grade standards throughout every stage of the project. Let's get started on building an effective forecast together today!
£30 GBP in 7 days
3.6
3.6

Excel financial forecasting requires a model that accurately projects revenue, expenses, and cash flow while remaining easy to review and update. I will build a structured Excel workbook with clear formulas and assumptions so the forecasts are reliable, then revise the model once based on your updated figures or feedback. My focus will be on accuracy, consistency, and making sure the spreadsheet is simple to maintain without breaking formulas. If you already have historical financial data, I can use it to create practical forecasts that support better decision making. Share your existing Excel file and I will review it and outline the best approach before getting started.
£59 GBP in 3 days
3.5
3.5

Hi, I’m a little different from the usual Excel modeler background. I have been associated for more than 35 years in the preparation of feasibility studies, Detailed Project Reports (DPRs), business strategies, investment proposals, and techno-commercial evaluations of infrastructure, environmental, and waste management projects in India, Qatar, UAE, Oman, and Kuwait. Much of this work entailed the preparation and examination of financial estimates, revenue models, operating expenses, cash flow predictions, project feasibility, and finance requirements. I often deal with expected revenue streams, operating costs, CAPEX/OPEX assumptions, cash flow modeling, and financial predictions utilized for management decision-making, investor conversations, and project financing. More recently I have also been involved in developing feasibility studies and business cases, which need accurate forecasts based on available operational and market data. I can do this for your assignment: • Audit and comprehend the source data • Build or improve forecast model in Excel • Project income, expenses and cash flow • Verify assumptions and calculations • Present the outcomes in a clear and understandable way • Provide a workbook that is formatted correctly and looks professional I am detail-driven and commercially minded and used to dealing with management-level financial information. I would be pleased to have a look at the existing workbook and discuss the scope before we begin.
£150 GBP in 3 days
3.0
3.0

Tavistock, United Kingdom
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