You will get I will organize and manage your bookkeeping in Excel or Google Sheets


Project details
Keep your business finances organized and stress-free with accurate bookkeeping in Excel or Google Sheets.
I’ll record your transactions, reconcile accounts, and prepare clear monthly reports including Balance Sheet and Profit & Loss. All data is handled carefully and confidentially.
This project is perfect for small businesses, startups, or anyone who wants their bookkeeping neat, accurate, and ready for decision-making. With options for 30, 50, or 100 transactions, you can choose a package that fits your needs.
I’ll record your transactions, reconcile accounts, and prepare clear monthly reports including Balance Sheet and Profit & Loss. All data is handled carefully and confidentially.
This project is perfect for small businesses, startups, or anyone who wants their bookkeeping neat, accurate, and ready for decision-making. With options for 30, 50, or 100 transactions, you can choose a package that fits your needs.
Data Entry Type
Copy Paste, Data Cleansing, Error DetectionData Entry Tool
Google Docs, Google Sheets, Microsoft Excel, Microsoft Office, Microsoft WordWhat's included
| Service Tiers |
Starter
$15
|
Standard
$25
|
Advanced
$40
|
|---|---|---|---|
| Delivery Time | 3 days | 5 days | 10 days |
Number of Revisions | 2 | 2 | 3 |
Number of Hours of Work | 3 | 5 | 8 |
Formatting & Clean Up | - | - | |
Graph & Table Creation | - | - |
About Tuhfah
Junior Accountant | Bookkeeping & Financial Data Management
Semarang, Indonesia - 12:59 pm local time
I can help with bookkeeping, financial statements, data entry, and reconciliations using Excel or Google Sheets.
I’m reliable, detail-oriented, and easy to work with — I’ll make sure your finances stay organized and accurate.
Steps for completing your project
After purchasing the project, send requirements so Tuhfah can start the project.
Delivery time starts when Tuhfah receives requirements from you.
Tuhfah works on your project following the steps below.
Revisions may occur after the delivery date.
Receive client data, Organize transactions,Deliver files to client
Receive client data Organize transactions – input data into Excel or Google Sheets in structured format. Check accuracy Prepare summary reports – generate monthly financial report (Balance Sheet & P&L). Deliver files to client Handle revisions




