Project Description
I’m looking for an experienced financial analyst who can support me on a part-time, ongoing basis. The focus is pure Business and Finance work: interpreting numbers, transforming them into clear insights, and helping me make smarter decisions without committing to a full-time hire.
You’ll dive into my raw data—historic P&L files, budget drafts, and ad-hoc expense trackers—then turn it into concise, decision-ready reports. Solid command of Excel (pivot tables, lookups, basic macros) or Google Sheets is essential; if you prefer Power BI or Tableau for quick visualisations, that’s absolutely fine too.
Typical scope
• Clean and organise monthly transactions
• Build a simple forecast that updates automatically with new inputs
• Flag variance drivers and draft a one-page summary I can send straight to stakeholders
I’m expecting roughly 10–15 hours a week, fully remote, with deadlines we agree on together. Reliability, clear communication, and the ability to explain your findings in plain language will matter more to me than fancy jargon.
If you have the analytical skill set and enjoy flexible, part-time work, I’d love to hear how you’d approach the first month and what tools you lean on most.