Financial Model & Report Audit
Budget / Salary$30–250
TypeFreelance project
LocationRemote
Posted1 hour ago
I have a detailed report and an Excel-based financial model that will be shared with funds and prospective investors. Before I circulate it, I want a fresh set of expert eyes on every line. The scope covers the balance sheet, income statement, cash-flow statement and, just as importantly, the underlying assumptions that drive them.
Your task is to scrutinise the numbers, formulas and narrative, flag anything inconsistent or unclear, and then amend the file so the statements reconcile perfectly and the story reads coherently. Error-checking, stress-testing of key drivers, and comments explaining any corrective steps are essential; I need to be confident every figure stands up to investor due diligence.
Deliverables:
• A clean, corrected version of the model and report
• A brief commentary (or change log) outlining issues found, fixes applied and any residual recommendations
The work should be completed using standard Excel financial-modelling best practice; feel free to introduce any helpful tools such as trace precedents, scenario toggles or ratio checks, as long as they remain transparent for investors who will review the file later.
Once your revisions are in, I will run a final sense-check. If everything ties, the assignment is closed—if not, I’ll send it back for one last tweak. Accuracy is paramount, so please respond only if you’re comfortable delivering an error-free, investor-ready package.
I need 2 fixed price from you please:
1. For providing feedback only (we will handle amendments). Expected turnaround: 1 day.
2. For providing both feedback and amendments. Expected turnaround: 2 days.
Preference will be given to freelancers who can deliver high-quality work at competitive rates.
Your task is to scrutinise the numbers, formulas and narrative, flag anything inconsistent or unclear, and then amend the file so the statements reconcile perfectly and the story reads coherently. Error-checking, stress-testing of key drivers, and comments explaining any corrective steps are essential; I need to be confident every figure stands up to investor due diligence.
Deliverables:
• A clean, corrected version of the model and report
• A brief commentary (or change log) outlining issues found, fixes applied and any residual recommendations
The work should be completed using standard Excel financial-modelling best practice; feel free to introduce any helpful tools such as trace precedents, scenario toggles or ratio checks, as long as they remain transparent for investors who will review the file later.
Once your revisions are in, I will run a final sense-check. If everything ties, the assignment is closed—if not, I’ll send it back for one last tweak. Accuracy is paramount, so please respond only if you’re comfortable delivering an error-free, investor-ready package.
I need 2 fixed price from you please:
1. For providing feedback only (we will handle amendments). Expected turnaround: 1 day.
2. For providing both feedback and amendments. Expected turnaround: 2 days.
Preference will be given to freelancers who can deliver high-quality work at competitive rates.
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