This project involved entering financial data into Excel, organizing transactions, and preparing a clean and structured accounting report.
Key Responsibilities:
- Entering invoices, expenses, and transaction records accurately.
- Creating organized Excel sheets with formulas (SUM, IF, VLOOKUP, Pivot Table).
- Preparing a monthly financial summary including totals, balances, and variances.
- Formatting the sheet professionally for easier review and analysis.
Key Achievements:
- Reduced data entry errors by improving sheet structure.
- Delivered a clear and organized report that helped the client track expenses.
- Automated calculations which saved the client significant time.
Tools Used: Excel, Google Sheets.