You will get clean, reconcile, and format your financial data and Excel sheets
Project details
Are broken formulas (#N/A, #REF!), duplicate rows, and messy exports slowing down your operations?
I am a Corporate Finance Executive specializing in Revenue Assurance and Financial Data Auditing. I transform messy, unformatted CSV or Excel exports into clean, structured, and audit-ready financial workbooks.
WHAT I DO BEST:
• Advanced Data Scrubbing: Remove duplicate rows, extra spacing, and structural text errors.
• Data Standardization: Unify inconsistent formatting across dates, currencies, and SKUs.
• Formula Reconstruction: Fix broken formula references and inject dynamic XLOOKUP & SUMIFS logic.
• Multi-Source Reconciliation: Line-by-line matching between sales logs and payment gateways (Shopify, Stripe, PayPal vs. Bank Deposits).
• Executive Dashboards: Build dynamic Pivot Tables and clean summary charts for fast decision-making.
WHY CLIENTS CHOOSE ME:
• Corporate Auditor Precision: Audited with a corporate financial controller's rigor.
• Fast Weekend Turnarounds: Delivered before your Monday morning business hours.
• 100% Data Confidentiality: Fully non-disclosure compliant.
I am a Corporate Finance Executive specializing in Revenue Assurance and Financial Data Auditing. I transform messy, unformatted CSV or Excel exports into clean, structured, and audit-ready financial workbooks.
WHAT I DO BEST:
• Advanced Data Scrubbing: Remove duplicate rows, extra spacing, and structural text errors.
• Data Standardization: Unify inconsistent formatting across dates, currencies, and SKUs.
• Formula Reconstruction: Fix broken formula references and inject dynamic XLOOKUP & SUMIFS logic.
• Multi-Source Reconciliation: Line-by-line matching between sales logs and payment gateways (Shopify, Stripe, PayPal vs. Bank Deposits).
• Executive Dashboards: Build dynamic Pivot Tables and clean summary charts for fast decision-making.
WHY CLIENTS CHOOSE ME:
• Corporate Auditor Precision: Audited with a corporate financial controller's rigor.
• Fast Weekend Turnarounds: Delivered before your Monday morning business hours.
• 100% Data Confidentiality: Fully non-disclosure compliant.
Data Tool
Microsoft ExcelWhat's included
| Service Tiers |
Starter
$20
|
Standard
$45
|
Advanced
$75
|
|---|---|---|---|
| Delivery Time | 1 day | 2 days | 3 days |
Number of Revisions | 1 | 3 | Unlimited |
Optional add-ons
You can add these on the next page.
Fast 24-Hour Express Delivery
+$15Frequently asked questions
About Janith
Revenue Assurance & High-Volume Data Reconciliation Specialist
Moratuwa, Sri Lanka - 12:05 am local time
Let’s get it fixed accurately and efficiently.
As a Corporate Finance Executive specializing in Revenue Assurance and High-Volume Financial Data Reconciliation, I help Small-to-Medium Businesses (SMBs) and e-commerce founders clean records, locate discrepancies, and protect their profit margins. Whether you have 100 messy entries or thousands of rows of multi-source billing transactions, I translate operational chaos into clean, audit-ready financial reports.
⚡ HERE IS HOW I DRIVE IMMEDIATE VALUE TO YOUR BUSINESS:
🔹 Data Reconciliation: Cross-checking bank statements, credit card processing feeds (Stripe/PayPal), and ERP data to eliminate tracking mismatches.
🔹 Revenue & Billing Audits: Validating daily sales orders against global payment flows to flag leakage, double-billing, or missing revenue.
🔹 Advanced Excel Engineering: Building visually striking, formula-driven dashboards using XLOOKUP, COUNTIFS, Conditional Formatting, and automated logic to streamline your monthly reporting.
💡 WHY ME OVER A GENERAL DATA ENTRY CLERK?
I operate with the precision of a corporate finance auditor. I don't just input data—I analyze it, catch the hidden revenue leaks that general data clerks miss, and build repeatable automated systems to save your time.
📈 Strict Data Integrity | Fast Turnaround Times | Clear Communication
Ready to get your financial records completely organized?
Click the 'Invite' or 'Message' button, and let's discuss your project goals today!
Steps for completing your project
After purchasing the project, send requirements so Janith can start the project.
Delivery time starts when Janith receives requirements from you.
Janith works on your project following the steps below.
Revisions may occur after the delivery date.
Requirements Received:
Client purchases the project and provides the raw messy Excel/CSV file alongside specific rules.
Data Cleanup & Audit:
I perform data deduplication, text standardization, formula repair, and reconciliation.


