Financial Statements Tables Preparation using Excel (Balance Sheet, Income Statement & Cash Flow)

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Project Overview:

This project involves preparing and organizing financial statement tables using Microsoft Excel in a structured and professional format.

Objectives:

Present financial data in clear and well-structured tables

Ensure accuracy and consistency across all financial statements

Improve readability and usability for analysis purposes

Tables Included:

Balance Sheet

Income Statement

Cash Flow Statement

Technologies Used:

Microsoft Excel

Financial Reporting Techniques

Key Features:

Clean and organized financial tables

Consistent formatting and structure

Easy-to-read layout for financial analysis

Ready for further analysis such as ratios and comparisons

My Role:

Designed and formatted all tables

Organized financial data professionally

Ensured accuracy and consistency

Results:

Delivered a well-structured financial reporting file

Improved clarity and usability of financial data

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