A ceiling amount for our specific designate account is fixed. Meaning we cannot have more than this amount in our account. However, we need to constantly make withdrawal applications to replenish our account from time to time. A standard template was provided for the withdrawal applications. But it keep showing a large variance that I cannot provide justifications after inserting all the known transactions for the specific WA period. Can someone assist in formulating a better template that will tie the ceiling amount and the total advance accounted for the period of the WA. Thanks
30 freelancer đang chào giá trung bình $121 cho công việc này
Hello, I am qualified CA from India and UK. I possess 13 years of experience in the area of finance and accounting. let me know good time to connect. Regards Abhishek
As an accounting graduate and 18 years in field of accounting. My expertise in financial reporting like bank reconciliation using excel and formulation of standard template for your project will help you.
I'm vast experience in creating templates and reducing manual inputs by automation of excel forms. I can create the required templates and implementing proper control checks to avoid errors.
I AM QUALIFIED CHARTERED ACCOUNTANT. I AM EXPERT IN ACCOUNTING FIELD. I WILL DONE YOUR WORK IN BEST MANNER AND TIMELY. I HAVE 10 YEAR EXPERIENCE IN ACCOUNTING AND FINANCE WORK
I am professional in such type activities and control of company's bank accounts and managing transactions and reconciliations. I need more information and data from your end to complete your project.