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Bank Reconciliation is a process of comparing the actual balance of an account in the bank against the respective balance recorded in the company’s general ledger for that account. This process is done to guard against any discrepancies between these two figures, allowing the company to create a reliable picture of its financials at any given time. A Bank Reconciliation Expert can provide invaluable support and help to any business who are in need of such a comprehensive service.
A Bank Reconciliation Expert can provide various services including consulting on the accuracy of transactions being entered into the bookkeeping system, ensuring that payments, fees, and interest are recorded accordingly; ensure completeness and accuracy of all transactions; reconcile balances with bank statements and other documents; as well as detect fraud or theft, compile financial reports and manage tax preparation.
Here's some projects that our Bank Reconciliation Experts made real:
At Freelancer.com, you can find top notch Bank Reconciliation Experts with a wide range of skills and experience in bookkeeping, auditing, payroll processing, creating financial reports, reviewing accounts – basically anything related to managing your finances! Our experts can offer effective solutions regardless of how complex your task may be. Get in touch with a specialist from our platform now and achieve your financial goals!
Từ 6,465 nhận xét, các khách hàng đã đánh giá Bank Reconciliation Experts 5 trên 5 sao.Bank Reconciliation is a process of comparing the actual balance of an account in the bank against the respective balance recorded in the company’s general ledger for that account. This process is done to guard against any discrepancies between these two figures, allowing the company to create a reliable picture of its financials at any given time. A Bank Reconciliation Expert can provide invaluable support and help to any business who are in need of such a comprehensive service.
A Bank Reconciliation Expert can provide various services including consulting on the accuracy of transactions being entered into the bookkeeping system, ensuring that payments, fees, and interest are recorded accordingly; ensure completeness and accuracy of all transactions; reconcile balances with bank statements and other documents; as well as detect fraud or theft, compile financial reports and manage tax preparation.
Here's some projects that our Bank Reconciliation Experts made real:
At Freelancer.com, you can find top notch Bank Reconciliation Experts with a wide range of skills and experience in bookkeeping, auditing, payroll processing, creating financial reports, reviewing accounts – basically anything related to managing your finances! Our experts can offer effective solutions regardless of how complex your task may be. Get in touch with a specialist from our platform now and achieve your financial goals!
Từ 6,465 nhận xét, các khách hàng đã đánh giá Bank Reconciliation Experts 5 trên 5 sao.Project Description We are implementing Odoo 19 Cloud for our company and are looking to engage an experienced Odoo functional consultant/freelancer to configure the complete accounting module in compliance with Indian regulatory requirements. The objective is to establish a fully functional accounting system capable of generating statutory financial statements and management reports compliant with the Companies Act, Income Tax Act (including TDS/TCS), and GST regulations. Scope of Work • Configure Indian Chart of Accounts • Setup accounting journals, fiscal positions, receivable and payable accounts • Configure GST taxes (CGST, SGST, IGST) and reporting • Setup TDS and TCS compliance and reporting • Configure sales, purchase and expense accounting workflows •...
I need my QuickBooks brought fully up to date by matching every bank and credit-card transaction against the corresponding statements. You’ll have direct access to the company file plus PDF statements; once finished, the registers should show a clean, zero-difference reconciliation for each account. Please be comfortable working with both bank and credit-card feeds, resolving any duplicates or coding errors, and documenting any discrepancies you find so I can follow the audit trail later. QuickBooks rules, journal entries, and class tracking are already in place—just make sure they remain intact while you work. Deliverables expected: • All bank and credit-card accounts reconciled to the latest statement dates • Reconciliation reports exported to PDF and saved insi...
We need a hands-on accountant who knows UAE accounting standards, VAT rules, upcoming corporate-tax requirements, e-invoicing and how they map into uae approved accounting software. Each week you will: • Bring all bank, cash and card transactions up to date and keep the chart of accounts tidy. • Review source documents, attach them to entries, and reconcile every balance so the books stay audit-ready. • Prepare the running VAT position, draft the FTA return, and flag any anomalies before filing deadlines. • Generate a concise management pack—P&L, balance sheet and cash-flow snapshot—so I can see how the business is performing. A solid grasp of UAE compliance standards, including reverse-charge mechanisms and excise where relevant, is essentia...
I’m looking for someone who can jump straight into my Tally Prime file and handle the adjustment side of my books. The focus is on two areas: • Posting all the necessary adjustment journal entries in standard format. • Completing an accurate bank reconciliation so the ledgers tie perfectly with my latest statements. All source documents, statements and any clarifications you need will be provided as soon as we start. I don’t have a custom template for the journals, so feel free to rely on Tally Prime’s default layouts and your own best practice. Accuracy and a quick turnaround are what matter most; once everything balances I’ll review the updated data and close the job.
Every month I forward a packet that includes my sales invoices, purchase bills, bank statements and the credit-debit notes raised during the period. Your job is to post each item into Tally exactly as it appears in those documents, then complete a clean bank-reconciliation statement and record every DN/CN so the ledgers stay perfectly matched. You will receive my own ready-made import sheets and voucher formats, so you can work directly in them rather than designing new templates. Accuracy and month-end timing are critical: once the entries are done and reconciled, I simply need the updated Tally data file back together with a brief confirmation that the books balance and any mismatches have been flagged. Deliverables each month • All sales and purchase vouchers entered in Tally ...
Looking for someone proficient with Zoho Books and GST (India) to maintain bookkeeping and accounting. I will pay a fix amount per month if I find someone good. However, I would like to start with a small paid task first. The first task is to create 50 GST-compliant export invoices from PayPal transactions.
We need someone who knows QuickBooks Online, and I need an experienced hand to keep everything running smoothly. The first priority is a clean, well-structured chart of accounts tailored to my operation; once the foundation is solid, you’ll take over the ongoing monthly bookkeeping—categorizing transactions, reconciling bank and credit-card feeds, and generating clear P&L and balance-sheet reports. From time to time errors pop up in QBO (sync hiccups, reconciliation issues, unexpected balance discrepancies). When they do, I’d like you to jump in, diagnose the root cause and correct it so my books stay accurate. I’m not planning to connect any third-party apps right now, so the focus is entirely on native QuickBooks Online functions. Acceptance criteria &bul...
Project Title : Specialist for Finance, Accounting, and Taxation Project Description: I am looking for a detail-oriented professional to handle the financial, accounting, and tax requirements for my business. The ideal candidate should be able to manage daily financial operations and ensure full compliance with tax regulations. Key Responsibilities: Accounting: Maintain accurate ledgers, perform bank reconciliations, and prepare financial statements (Balance Sheet, P&L, and Cash Flow). Finance: Manage accounts payable/receivable and provide monthly financial analysis. Taxation: Calculate and file monthly/annual tax returns (including VAT and Corporate Income Tax) ensuring compliance with local laws. Audit Support: Ensure all financial records are audit-ready. Qualifications: Proven exp...
I keep my books in Xero and want the bank feed fully up-to-date every week. Your job is to sign in once the feeds refresh, reconcile every line in my main operating account and a much smaller secondary account, and flag anything that needs my attention. Most of the volume sits in the primary account; the second account has only a handful of transactions, so the workload is steady but not heavy. I rely on accurate coding to contacts, invoices and expense accounts, so please be comfortable using Xero’s bank rules, cash-coding screen and standard reconciliation tools. If you spot a mismatch or missing document, leave a clear note so I can resolve it quickly. Deliverables each week: • Both bank accounts fully reconciled in Xero • Unmatched or unclear items left to be review...
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