Financial Analysis Jobs

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Fixed-Price - Intermediate ($$) - Est. Budget: $200 - Posted
I am looking to have someone write a Proposal to provide daycare services. Ideally, respondents should have experience writing bids or contracts for government agencies, as well as financial or business orientated experience. Respondents are encouraged to provide any unsolicited information or material not specifically covered in the sections of this Call for Proposal, which will include the following: Proposals must address the following criteria: 1. Qualifications Please provide daycare or business certificates and qualifications your firm may have. 2. Experience Please provide a description of services and business experience your firm has been involved with. 3. Staffing Structure Please provide your proposed staffing structure and expectations of staff your firm has or can acquire. 4. Cost and Delivery For the purpose of this Proposal, we require that you include expectations of rent. We require those proposing their services to outline in detail hours of operation, descriptions of services provided and expectations they may have of the City. As part of the conditions for lease at this location we require a drop-in use option to be part of the services provided and look forward to discussing this further in the interview process. 6. References At least 3 (three) references indicating the name of the contact person, phone number and position within the organization must be submitted with the Proposal. 7. Other The City reserves the right to accept or reject any or all Proposals and to waive irregularities and informalities at its discretion.
Skills: Financial analysis Accounting Business Coaching Business Development
Fixed-Price - Expert ($$$) - Est. Budget: $100 - Posted
We are on the verge of breaking through as a firm, and we would like to make sure our financial records are accurate for business, legal, and overall overview of the firms financial health. Must be well versed in business accounting Must have business legal knowledge Must be a U.S Citizen and registered accountant Responsibilities: Record keeping Financial planning Tax filing Most importantly, financial advising. $100/mo fixed for standard operation Variable rate for non-standard operations
Skills: Financial analysis Business valuation Certified Public Accountant (CPA) Financial Accounting
Hourly - Intermediate ($$) - Est. Time: Less than 1 month, Less than 10 hrs/week - Posted
- this project is a comparison between CAPM and the three factors model , which model perform better. - we have to use stock prices from s&p 500 top 25 stocks according to their performance . - To analyze the data I have to run time series regression using OLS method using E-views system.
Skills: Financial analysis Academic Writing Financial Management Financial Reporting
Hourly - Expert ($$$) - Est. Time: More than 6 months, 30+ hrs/week - Posted
About the Company: We are a Consulting based company with Gross revenues of over 15 million dollars per annum. We specialize in helping individuals start their own online businesses from home, many become successful and many do not. We also produce and manufacture our own supplement products that we market on the internet as a free trial offer to consumers nationwide and in Canada. Our business is 100% online with only key executives and assistants working in our Madison avenue location. Responsibilities: The Controller is responsible for all finance and accounting operations including the production of weekly/monthly/annual financial reports, maintenance of an adequate system of accounting records, managing credit and merchant accounts and a comprehensive set of controls and budgets. Some experience with e-commerce is required as all business is done online. They will initially manage one staff accountant and a senior accounting contractor but we expect this to grow rapidly to several staff. Principal Accountabilities: Management Create and maintain a documented system of accounting policies and procedures Manage any outsourced functions, interfacing with our vendors for telemarketing and shipping Oversee the operations of the accounting department, including the design and reorganization of an organizational structure adequate for achieving the department's goals and objectives as transaction volume and number of suppliers and customers increases Oversee the accounting operations and cumulative reporting across many legal entities under our control including policies and procedures Daily reconciliation of all deposits against purchases Daily vendor payments from company accounts to maintain balances for chargebacks but also pay bill on a timely basis to insure good credit and growth of credit card processing capabilities of each entity Report across individual companies and collectively for KPIs and provide daily, weekly and monthly reports and populate dashboard to be created Develop and update rolling 90 day cash and P & L forecasts Hire and mange bookkeeper(s) and accountants as needed to support rapid growth – Staff ratio to be determined with transaction level to maintain in high-growth mode to allow 60 day hiring cycle for new employees Control costs and negotiate with vendors Work with Business Analysts to achieve cost savings and revenue growth Develop systems to manage risk and create checks and balances needed to prevent and detect any fraud Produce monthly P & L and Balance sheets with forecast to actual reporting Financial Controller Tasks. Ensure policies and procedures are in compliance with professional standards, state and federal regulatory requirements. Establish and maintain internal controls to support the financial infrastructure. Present financial reporting and potential risk areas to senior management. Guide management and analysts with opportunities for savings and/or additional revenue Transactions Ensure that accounts payable are paid in a timely manner Ensure that all reasonable discounts are taken on accounts payable Ensure that accounts receivable are collected promptly Process payroll in a timely manner Ensure that periodic bank reconciliations are completed Ensure that required and debt payments or collections are made on a timely basis Maintain the chart of accounts Maintain an orderly accounting filing system Maintain a system of controls over accounting transactions Reporting Issue timely and complete financial statements Coordinate the preparation of any needed corporate annual report for tax purposes Recommend benchmarks against which to measure the performance of company operations Calculate and issue financial and operating metrics Manage the production of the annual budget and rolling 90 day forecasts Calculate variances from the budget and report significant issues to management Provide for a system of management cost reports Provide financial analysis as needed, in particular for capital investments, pricing decisions, and contract negotiations Compliance Coordinate the provision of information to any external accountants for the annual review Monitor vendor accounts, credit, debt levels and compliance with any covenants Comply with any necessary local, state, and federal government reporting requirements and tax filings
Skills: Financial analysis Accounting Accounts Payable Management Accounts Receivable Management
Hourly - Entry Level ($) - Est. Time: Less than 1 week, Less than 10 hrs/week - Posted
We are looking for a UK personal tax accountant. It is essential that you are familiar with marine tax returns and specifically filing under the seafarers earnings deduction rule. Our clients are marine professionals and we are keen to bring this service in house. Applicants must be UK based, be highly communicative, have access to online filing and able to show experience of filing this type of return. The successful freelancer will be paid on a "per return" basis and will be expected to communicate quickly and efficiently with clients and be especially proactive. Please quote prices on a "per 100 returns" basis on the assumption that you will be completing a minimum of 100 returns per year for us You will be expected to complete a trial and show evidence that you are completely conversant in this specific and fairly niche area. Must be UK based, 100% computer and IT literate and able to communicate quickly and efficiently with our client base who are aged 18-35. Please note this is an annual project. The 100 + tax returns will be completed over the course of a 12 month period on an "on demand" basis. This is a very conservative estimate but please bid for 100 returns and we will see how go. There will be more work to follow.
Skills: Financial analysis Accounting Bookkeeping Financial modeling
Hourly - Expert ($$$) - Est. Time: More than 6 months, 30+ hrs/week - Posted
About the Company: We are a Consulting based company with Gross revenues of over 15 million dollars per annum. We specialize in helping individuals start their own online businesses from home, many become successful and many do not. We also produce and manufacture our own supplement products that we market on the internet as a free trial offer to consumers nationwide and in Canada. Our business is 100% online with only key executives and assistants working in our Madison avenue location. Responsibilities: The Controller is responsible for all finance and accounting operations including the production of weekly/monthly/annual financial reports, maintenance of an adequate system of accounting records, managing credit and merchant accounts and a comprehensive set of controls and budgets. Some experience with e-commerce is required as all business is done online. They will initially manage one staff accountant and a senior accounting contractor but we expect this to grow rapidly to several staff. Principal Accountabilities: Management Create and maintain a documented system of accounting policies and procedures Manage any outsourced functions, interfacing with our vendors for telemarketing and shipping Oversee the operations of the accounting department, including the design and reorganization of an organizational structure adequate for achieving the department's goals and objectives as transaction volume and number of suppliers and customers increases Oversee the accounting operations and cumulative reporting across many legal entities under our control including policies and procedures Daily reconciliation of all deposits against purchases Daily vendor payments from company accounts to maintain balances for chargebacks but also pay bill on a timely basis to insure good credit and growth of credit card processing capabilities of each entity Report across individual companies and collectively for KPIs and provide daily, weekly and monthly reports and populate dashboard to be created Develop and update rolling 90 day cash and P & L forecasts Hire and mange bookkeeper(s) and accountants as needed to support rapid growth – Staff ratio to be determined with transaction level to maintain in high-growth mode to allow 60 day hiring cycle for new employees Control costs and negotiate with vendors Work with Business Analysts to achieve cost savings and revenue growth Develop systems to manage risk and create checks and balances needed to prevent and detect any fraud Produce monthly P & L and Balance sheets with forecast to actual reporting Financial Controller Tasks. Ensure policies and procedures are in compliance with professional standards, state and federal regulatory requirements. Establish and maintain internal controls to support the financial infrastructure. Present financial reporting and potential risk areas to senior management. Guide management and analysts with opportunities for savings and/or additional revenue Transactions Ensure that accounts payable are paid in a timely manner Ensure that all reasonable discounts are taken on accounts payable Ensure that accounts receivable are collected promptly Process payroll in a timely manner Ensure that periodic bank reconciliations are completed Ensure that required and debt payments or collections are made on a timely basis Maintain the chart of accounts Maintain an orderly accounting filing system Maintain a system of controls over accounting transactions Reporting Issue timely and complete financial statements Coordinate the preparation of any needed corporate annual report for tax purposes Recommend benchmarks against which to measure the performance of company operations Calculate and issue financial and operating metrics Manage the production of the annual budget and rolling 90 day forecasts Calculate variances from the budget and report significant issues to management Provide for a system of management cost reports Provide financial analysis as needed, in particular for capital investments, pricing decisions, and contract negotiations Compliance Coordinate the provision of information to any external accountants for the annual review Monitor vendor accounts, credit, debt levels and compliance with any covenants Comply with any necessary local, state, and federal government reporting requirements and tax filings
Skills: Financial analysis Accounting Accounts Payable Management Accounts Receivable Management
Fixed-Price - Intermediate ($$) - Est. Budget: $500 - Posted
I need help with my Doctoral Thesis - mainly the topic and the content. Open to all requests, but the more help the better. Background: I am a Finance Major with concentrations in Financial Analysis the International and American Economy, and Financial Markets. Please let me know how you can help! The paper is 100+ pages double spaced.
Skills: Financial analysis Business Writing Financial Writing
Fixed-Price - Intermediate ($$) - Est. Budget: $700 - Posted
Points needed: 1. Comprehensive study for middle east market includes : • studying the volume of the freelancer market in the area. • the number of users as both buyers and sellers in the area. • the geographical distribution of users in the area. • the competitors in the middle east. • the positives and negatives of competitors. • Swot analysis • the distinguished competitive merit of our project • Proposals for the development of services 2. Prepare a FULL technical study and analysis for sites such as fivers.com and the sites' way of working from A-Z and the required human resources 3. A financial feasibility study using best technologies to develop an advanced finance program and a plan for recovery ( general budget , costs, the monthly and yearly profits for 10 years, BEP, etc ..) 4- Business plan 5. marketing plan 6- Process flow Please only apply if you will be able to make analysis to the Middle east market.
Skills: Financial analysis Business Analysis Business Modeling Business Planning
Fixed-Price - Intermediate ($$) - Est. Budget: $175 - Posted
Hello, We are in need of a business plan for a start-up company to be based in the Houston Metropolitan area. This will need to be utilized to secure a business loan as well as present it to commercial leasing agents. . It should have all necessary aspects of a business plan including pro forma financial statements and a 5 year projection. I can give more information such as demographics about the location, cost to open, and etc. once the job is awarded. Thank you.
Skills: Financial analysis Business Planning Internet Marketing Marketing strategy
Fixed-Price - Entry Level ($) - Est. Budget: $251 - Posted
Looking to have the historical Bond Yield prices for the following countries: United States United Kingdom Germany France Italy Japan Australia Canada I am specifically looking for the weekly sovereign bond yields from 1980 to present. I have attached a screen shot of the various instruments that have yields. I would want to have each instrument (if available) for each country. For example, 1M, 3M, 6M, 1Y, 2Y, 3Y, 4Y, 5Y, etc... (see the BLUE row in the example pic) I expect delivery of this this data available in an excel format.
Skills: Financial analysis Market research