Financial Modeling Jobs

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Hourly - Intermediate ($$) - Est. Time: More than 6 months, Less than 10 hrs/week - Posted
Los Angeles based real estate development company, Kirkwood Collection, is looking to hire a pro forma development analyst to aid in modeling hospitality related real estate acquisitions. Analyst must be highly proficient in Excel at a graduate school level, and be able to customize existing pro forma models to meet our needs in a timely manner. Must be able to start immediately.
Skills: Financial modeling Financial analysis Microsoft Excel
Hourly - Intermediate ($$) - Est. Time: Less than 1 week, 10-30 hrs/week - Posted
Hello, I am a college student doing in-depth research and also looking to broaden my skill set to help build my working knowledge of skills needed to succeed at an investment bank/analyst firm. I am looking for someone with a particularly strong investment banking background that can make a lesson-style video on how to build merger and acquisitions models and equity valuation models. I understand that these two subjects may be time consuming, but I am looking to spend around $100-150 dollars. What I don't want is a Star Wars trilogy length collection of videos, but something maybe 3-4 hours in length detailing how to construct different types of valuation models in Excel or preferred program (I would prefer Excel). Along with how to construct, I would like a solid explanation of methodology behind specific metrics included in report and what you did to find or interpret these metrics. To sum things up, this project shouldn't require any more time than 4-5 hours to construct, as I am expecting a video of above descriptions that should be about this length of time. If there are any concerns or questions about the general scope of what I want done, please reach out. Thank you
Skills: Financial modeling Financial analysis Microsoft Excel
Hourly - Intermediate ($$) - Est. Time: Less than 1 month, 30+ hrs/week - Posted
Details I am looking for a careful candidate who can help me complete my first business plan. We are a brand new start up who aims to raise funds for causes and businesses all over the world using existing Crowdfunding Platforms such as Indiegogo. Our aim is to handpick causes and businesses that we as a team feel passionate about. We will raise funds for their projects and take a percentage for our work. This project requires someone who has the ability to help me see the full financial picture of my start-up before I invest in anything further than the business plan itself. All aspects of financial projections/forecasting, cash flow forecasts, operational costs need to be looked at before I decide whether to start this business. If you feel you could give the project strong success please reply giving me examples of your work where possible. I am open to receive offers by hourly or fixed rate. I look forward to hearing from you.
Skills: Financial modeling Business Planning Financial analysis
Hourly - Intermediate ($$) - Est. Time: More than 6 months, 30+ hrs/week - Posted
Excel Portfolio Manager Spreadsheet I am looking for someone with an expert level experience in Excel 2013 to join the team and work on an existing comprehensive portfolio management spreadsheet. I currently have an existing Excel spreadsheet with various portfolio tabs that contain: a. Asset allocations b. Securities with current prices b. Dollar Cost Averaging strategy c. Rebalancing data d. Fee data f. Transactions g. Performance Reports h. Summary Reports and more. I am looking to accomplish 3 things: 1. Fix the current bugs in the spreadsheet and in the various reports. 2. Expand the functionality of the spreadsheet to include benchmarking comparisons in reports. 3. Increase the speed of the spreadsheet. The spreadsheet should be as “dynamic” as possible. By that I mean avoiding hard coding as much as possible and using VBA and Macros to make the portfolio scaleable. The candidate MUST have: - Expert level experience with Excel 2013 - Expert level experience with VBA and Macros - Good working knowledge of investing and portfolio management - Be a full-time freelancer with ample free time to work aggressively on this project - Get work done quickly and efficiently and meet deadlines - TEST YOUR OWN WORK AND DELIVER A BUG FREE PRODUCT - Be a clear communicator - Be available to speak on the phone daily regarding specifications - Be available on Skype daily to discuss specifications - Be comfortable in the role as a teacher when it comes to understanding and using the spreadsheet correctly The most important is TEST YOUR OWN WORK AND DELIVER A BUG FREE PRODUCT. I will no longer work with programmers who do not test and send me software loaded with bugs. if this is you, please do NOT apply. Note: To do this work effectively, it’s important for you to have a good working knowledge of investing and portfolio management. You must be an expert programmer and also a knowledgeable investor. Please submit any investing spreadsheets you have previously created for review.
Skills: Financial modeling Equity Research Excel VBA Financial Accounting
Hourly - Intermediate ($$) - Est. Time: 3 to 6 months, Less than 10 hrs/week - Posted
Currently using quickbooks (self employed) for one source of income. Partner using "17 hats" software to record business expenses (believe there is an ability to export to quickbooks...). Need to plan to pay down debts and future tax based on erratic and unpredictable income. Planning to use Turbotax for tax filing this year but open to other suggestions. Seeking an all rounder who can cope with breadth of issues and help take the burden off our shoulders by helping provide solutions and clarity. 1. ONE YEAR / THREE YEAR STRATEGY Devise a strategy to apply once off lump income to current debts (this will involve understanding tax issues in US and other jurisdiction - so must be able to identify where research is needed and find the answer). US based but with property overseas and file tax in two countries, so two currencies (dollar and euro). Significant property and tax debt. Need a plan to get out of debt and onward to financial security and independence. 2. BUDGET Need a budget (weekly/monthly) based on past spend and goals with provision for future tax and debt pay down. Ideally need a simple and visually appealing online budget tool (for partner who is not very financially savvy). Want an online procedural system for tracking expenses/income designed which is easy to monitor and maintain. 3. ONGOING MAINTENANCE Having set up the system we now need you to maintain it and keep us on track. Thanks.
Skills: Financial modeling Accounting Budgeting & Forecasting Business Analysis