INTL
Freelancer
어려움
외주
원격 가능
Budgeting & Forecasting Revamp
예산
$12,500~$37,500 INR
예상 기간
1~2주
난이도
어려움
기술 스택
Accounting
Excel
Finance
Business Analysis
Financial Planning
Data Analysis
Power BI
Budgeting and Forecasting
Google Sheets
Tableau
AI 분석 요약
이 프로젝트는 숙련된 비즈니스 분석가가 회사 재무 계획 주기를 재설계하고 구현하는 것을 목표로 합니다. 성장 목표에 부합하는 새로운 운영 및 자본 예산 모델을 Excel 또는 Google Sheets로 구축하고, 기존 예산을 분석하여 개선점을 도출하며, 현금 흐름 가시성 및 비용 관리를 위한 실용적인 권장 사항을 제시해야 합니다. 주요 역량은 재무 모델링, 예산 분석 및 경영진 보고서 작성 능력입니다.
프로젝트 원문 설명
I’m looking to bring in a skilled business analyst to take charge of our financial planning cycle from end to end. Your first task will be to design fresh operating and capital budgets that align with our current growth objectives. Once that framework is in place, you’ll dive into the numbers we already have, benchmark performance, and highlight where assumptions, cost drivers, or revenue projections need to be tightened.
What I need from you:
• A clean set of forward-looking budgets and rolling forecasts built in Excel (or Google Sheets) with clear, editable assumptions.
• Side-by-side analysis of our existing budgets, including variance explanations and risk/opportunity commentary.
• Practical recommendations I can implement immediately to improve cash flow visibility and cost control.
I value clarity and speed, so the models must be self-explanatory, use standard formulas (no hidden macros), and be presentation-ready for senior leadership. If you routinely work with tools such as Power BI or Tableau for visual dashboards, let me know—those insights would be a plus, though not essential.
Deliver the first draft models within one week; we’ll iterate once, then finalise. Let’s give the company a budgeting process that truly supports decision-making.
What I need from you:
• A clean set of forward-looking budgets and rolling forecasts built in Excel (or Google Sheets) with clear, editable assumptions.
• Side-by-side analysis of our existing budgets, including variance explanations and risk/opportunity commentary.
• Practical recommendations I can implement immediately to improve cash flow visibility and cost control.
I value clarity and speed, so the models must be self-explanatory, use standard formulas (no hidden macros), and be presentation-ready for senior leadership. If you routinely work with tools such as Power BI or Tableau for visual dashboards, let me know—those insights would be a plus, though not essential.
Deliver the first draft models within one week; we’ll iterate once, then finalise. Let’s give the company a budgeting process that truly supports decision-making.
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