I will automate excel financial reports and data reconciliation
Quant
Informazioni su questo servizio
Are you spending hours every month manually reconciling financial data or building the same reports in Excel? I automate this for you.
As a Quantitative Finance & ML specialist currently working as an ALM Analyst at a bank, I understand financial data accuracy and audit-readiness aren't optional for me, they're the baseline.
What I can automate for you:
- Bank/ledger reconciliation
- Recurring financial reports (P&L, variance, cash flow)
- Multi-source data consolidation
- Error detection & flagging in financial datasets
- Excel-to-Python workflow automation
Why work with me:
- ️ Real banking/financial industry background I understand regulatory and audit requirements, not just code
- ️ Python-based automation that saves hours of manual work every month
- ️ Clean, documented scripts your team can reuse
- ️ Fast turnaround, clear communication
Send me a message with your current process (even a rough description or sample file) and I'll tell you exactly how I'd automate it.
FAQ
What file formats do you work with?
Excel (.xlsx/.xls), CSV, and most standard financial data exports. Let me know your source and I'll confirm compatibility.
Do I need to know Python to use what you deliver?
No — I provide clear documentation and can set it up so your team runs it with one click or command.
Can this connect to my accounting software (QuickBooks, SAP, etc.)?
In many cases yes, depending on export/API access. Message me your setup and I'll confirm.
