Freelance Accountants in Punjab
Freelance Accountants in Punjab
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Mouaz Umer
Lahore, Pakistan
CPA | Streamlining Your Finance |QuickBooks | XERO
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CPA | Streamlining Your Finance |QuickBooks | XERO
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Streamlined Accounting Systems for Startups
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7
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Advanced Accounting and Bookkeeping Services for Businesses
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7
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You will get CPA Accountant | Senior Bookkeeper | Tax Expert
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26
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Accountant
(3)
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Saqib Rafique
Lahore, Pakistan
UK Accountant & Financial Expert
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UK Accountant & Financial Expert
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I will file UK company accounts and ct600 tax return
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35
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I will do accounting bookeeping and vat in quickbook online xero
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25
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I will prepare uk self assessment and file to hmrc, self employ…
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27
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(3)
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Haadi Hassan
Lahore, Pakistan
Senior Accountant for US, UK & Australian Businesses
New to Contra
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Senior Accountant for US, UK & Australian Businesses
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I performed a full QuickBooks Online cleanup, reconciliation, and month-end close for a US-based service business. The work included reviewing and correcting transaction classifications, cleaning up uncategorized and duplicate entries, reconciling bank and credit-card accounts, reviewing accounts receivable and payable, updating the chart of accounts, and recording accruals, prepayments, depreciation, and other adjusting journal entries. I also prepared monthly Profit and Loss, Balance Sheet, cash-flow, AR aging, AP aging, and budget-versus-actual reports. The completed cleanup gave management more reliable financial information, clearer visibility into cash flow and profitability, and a structured process for future monthly reporting. Sample data has been used to maintain confidentiality.
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I managed the complete monthly bookkeeping and month-end close process in Xero for Australian service-based businesses. The work included bank and credit-card reconciliations, accounts receivable and payable reviews, payroll and superannuation checks, accruals and prepayments, GST/BAS review, intercompany reconciliations, and investigation of outstanding or incorrectly classified transactions. I also prepared Profit and Loss, Balance Sheet, cash-flow reports, and management summaries to give clients clear visibility into profitability, cash position, receivables, payables, and compliance obligations. A structured close checklist was used to ensure accurate records, timely reporting, and completion of all month-end activities. Sample data has been used to maintain confidentiality.
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I developed a rolling 13-week cash-flow forecasting model to give management clear weekly visibility into future cash inflows, outflows, and liquidity requirements. The model brings together opening cash, expected customer collections, vendor payments, payroll, taxes, and operating expenses to calculate weekly net cash flow and projected closing balances. It also highlights the lowest projected cash position, potential shortfalls, and the main drivers of cash movement. The forecast can be updated each week using the latest AR, AP, and operational information, helping management prioritize payments, strengthen collection efforts, and plan funding requirements in advance. Sample data has been used to maintain confidentiality.
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I developed this monthly management reporting dashboard to give leadership a clear view of financial performance in one place. It combines actual vs budget results, YTD performance, profitability margins, EBITDA, cash position, AR/AP days, revenue trends, expense analysis, and monthly cash flow. The dashboard also highlights favorable and unfavorable variances, explains the key performance drivers, and provides practical follow-up actions for management. It was designed as a reusable Excel-based reporting format that can be updated each month.
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78
Accountant
(4)
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Syed Basit Ali
Lahore, Pakistan
Full Stack Bookkeeper
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Full Stack Bookkeeper
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You will get Real Estate bookkeeping with Expertise in Buildium,
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6
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You will get Zoho Books bookkeeping and Accounting
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6
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QuickBooks Pro Advisor
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5
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Muhammad Arif
Bahawalpur, Pakistan
Expert Accountant & Bookkeeper for Your Business
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Expert Accountant & Bookkeeper for Your Business
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Quickbooks Specialist for Hour Tracking and Invoicing
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4
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Quickbooks Specialist for Hour Tracking and Invoicing
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5
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QuickBooks online
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2
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Muhammad Ehtisham
Rawalpindi, Pakistan
Accountant, Bookkeeper, AP/AR, Financial Reporting
New to Contra
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Accountant, Bookkeeper, AP/AR, Financial Reporting
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I will provide accurate and organized bookkeeping support using QuickBooks, helping businesses keep their financial records complete and up to date. My work includes transaction recording, AP/AR, bank and credit card reconciliations, journal entries, account reviews, adjustments, and month-end closing. My focus is not only on recording transactions but also on making sure the books are properly reconciled and ready for reliable financial reporting. Services: QuickBooks • Bookkeeping • AP/AR • Bank Reconciliation • Journal Entries • Month-End Close • Account Cleanup
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I support businesses with budgeting, financial forecasting, cash flow planning, and performance monitoring. My work includes preparing budgets and cash flow projections, comparing actual results against budgets, identifying variances, monitoring costs, and highlighting potential cash requirements. The objective is to give management better financial visibility so they can plan ahead, control costs, manage resources effectively, and make informed business decisions. Services: Budgeting • Forecasting • Cash Flow Management • Budget vs Actual • Variance Analysis • Financial Planning • Management Reporting
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I prepare and review financial reports that give management a clear understanding of business performance and financial position. This includes Profit & Loss Statements, Balance Sheets, cash flow information, supporting schedules, management reports, and financial analysis. My approach is to turn accounting information into clear and useful reports that help management understand profitability, expenses, cash position, and overall financial performance. Services: Financial Reporting • P&L • Balance Sheet • Cash Flow • Management Accounts • Financial Analysis • Management Reporting
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I help businesses identify and resolve differences between their accounting records and bank statements. This includes reviewing missing or duplicate transactions, bank charges, outstanding payments, incorrect postings, and unreconciled balances. Rather than simply adjusting a difference to make the accounts match, I focus on identifying the underlying cause, correcting the accounting records, and leaving the books clean, organized, and ready for reporting. Services: Bank Reconciliation • Account Reconciliation • Bookkeeping Cleanup • Error Identification • QuickBooks • General Ledger Review
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29
Accountant
(1)
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Jawwad Ali Shakir
Lahore, Pakistan
Financial Controller | Senior Accountant | Remote Accounting
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Financial Controller | Senior Accountant | Remote Accounting
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Chartered Accountant (ICAP) with 8+ years of progressive experience leading finance functions for organizations with annual revenues of up to PKR 4 Billion. Proven expertise in financial reporting, bookkeeping, ERP implementation, trade finance, payroll administration for 1,750 employees, IFRS compliance, and international accounting support for UAE and Canadian businesses. Recognized for resolving a PKR 500 Million legacy receivables reconciliation by identifying historical discrepancies, recovering missing invoices, and eliminating unreconciled balances. Highly proficient in QuickBooks Online, Xero, Zoho Books, Oracle, SAP, Microsoft Dynamics 365, and Advanced Excel.
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Developed comprehensive financial statement schedules to support the annual financial reporting process, including equity reconciliation, cost of sales analysis, and fixed asset and investment property schedules. The project focused on accurate classification, reconciliation, and presentation of financial data in accordance with applicable reporting standards, delivering clear and reliable information for management review, statutory reporting, and stakeholder communication.
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Prepared a comprehensive Statement of Profit or Loss and Other Comprehensive Income by organizing and analyzing the client's financial data in accordance with applicable financial reporting standards. The report presents revenue, operating expenses, profitability, taxation, and comprehensive income in a clear and structured format, enabling management and stakeholders to assess the company's financial performance and make informed business decisions.
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Prepared and presented the client's Statement of Financial Position by consolidating financial records into a structured and compliant financial statement. The project focused on accurate financial reporting, proper classification of balance sheet items, and delivering a professional document suitable for management review, regulatory compliance, and external stakeholders.
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77
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(4)
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Account Sphere
Sialkot, Pakistan
Helping Businesses Grow Through Accounting
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Helping Businesses Grow Through Accounting
2
Zenith Industries — Integrated Three-Statement Financial Model: Built a fully integrated, formula-driven financial model for Zenith Industries in Excel, designed so that changes to transactions, assumptions, or accounting entries automatically flow through the entire model. The model connects the complete accounting and financial reporting process, with complex formulas and linked schedules ensuring that the financial statements update dynamically whenever the underlying inputs are changed. Key Features: *Structured Chart of Accounts *Automated Journal Entries *Formula-driven General Ledger *Automated Trial Balance *Integrated Income Statement *Integrated Balance Sheet *Integrated Cash Flow Statement *Dynamic financial assumptions *Interactive financial dashboard *Cross-linked statements with automatic updates *Built-in formulas and accounting logic to maintain consistency across the model What makes this model different? The model is dynamic rather than static. Changing an entry at the source automatically updates the relevant accounts, ledgers, trial balance, and financial statements. This creates a connected financial system that can be used for financial analysis, forecasting, scenario testing, and decision-making. This project demonstrates advanced Excel financial modeling, accounting integration, formula development, and automation.
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Title: Automatic Bookkeeping Workbook — Single-Entry Journal to Full Financial Statements Description: A lightweight, fully automated Excel bookkeeping template built around one core idea: type a transaction once, and every downstream report updates itself. Unlike a full client engagement model, this is designed as a clean, reusable template — enter journal entries as balanced debit/credit lines on the one editable sheet, and the workbook handles the rest automatically: 1.One input sheet: Journal Entries is the only tab you type in — pick accounts from a dropdown, enter debit or credit amounts, and a built-in check column flags instantly if a line doesn't balance 2.Automated General Ledger: every account's full transaction history and running balance, generated without a single manual formula 3.Trial Balance with a live balance check 4.Financial statements: Income Statement, Balance Sheet (with automatic balance verification), and a direct-method Cash Flow Statement — all driven off a Cash Flow Category tag on cash transactions 5.Dashboard: auto-generated KPI snapshot (Total Assets, Liabilities, Equity, Net Income, Ending Cash) plus Revenue vs. Expenses and Operating Expense Mix charts 6.Color-coded design: blue for inputs, black for same-sheet formulas, green for cross-sheet links, grey for automated helper columns — so anyone opening the file immediately understands what's safe to edit Built to show that solid double-entry bookkeeping logic can be made genuinely foolproof for a non-accountant user — no VBA, no macros, just clean formula architecture. Skills demonstrated: Excel automation · Double-entry bookkeeping · Template design · Data validation · Financial statement preparation · Dashboard & chart design
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Startup Financial Model — 3-Year Excel Model for Early-Stage Businesses A complete, investor-ready financial model built for newly established businesses, delivered as a fully dynamic Excel workbook (9 linked tabs, 685+ live formulas, zero hardcoded outputs). What's included: 1.Startup Costs — itemized pre-launch capital requirements with contingency buffer 2.Revenue Build — multi-stream revenue modeling with monthly detail for Year 1 and 3-year projections 3.Operating Expenses — fully categorized cost structure with annual escalation 4.Break-Even Analysis — automated contribution margin, break-even point, and margin of safety, with a visual chart 5.3-Year P&L Forecast — full income statement from revenue down to net income, monthly + annual 6.Cash Flow & Cash Requirement — monthly runway analysis with receivables/payables timing, pinpointing exactly when and how much additional cash is needed 7.Funding Requirement — Sources & Uses summary that ties out automatically, producing a clear capital ask Why it stands out: Every number is a live formula, not a static output — change one assumption and the entire model (break-even, forecast, cash runway, funding ask) recalculates instantly Color-coded inputs (blue), formulas (black), and cross-sheet links (green) so any user can navigate and edit safely Built to professional modeling standards — clean formatting, documented assumptions, verified formula integrity Ideal for: founders raising a pre-seed/seed round, small business owners applying for a loan, or accelerator/incubator applicants who need a credible, lender/investor-facing financial model fast.
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Forward Sports (Pvt.) Ltd — Dynamic 5-Year Three-Statement Financial Model A fully-linked, scenario-driven financial model built in Excel for Forward Sports (Pvt.) Ltd, a Sialkot, Pakistan–based sporting goods manufacturer and exporter — forecasting FY2026–FY2030 off a FY2025 actual base year. Scope of work: 1.Scenario-Driven Assumptions — built a live scenario switch (Base / Upside / Downside) driving revenue growth (3%–13%) and COGS as a % of revenue (59%–64%) through OFFSET + MATCH formulas, so the entire model recalculates from a single dropdown input 2.Operating Expense Build-Up — modeled SG&A, R&D, and Marketing as % of revenue over the forecast period, feeding directly into the income statement 3.Income Statement — fully linked 6-year P&L (2025A–2030F) from revenue through COGS, gross profit, operating expenses, and net income, all formula-driven off the assumptions tab 4.Balance Sheet — dynamic 5-year balance sheet with automatic balance checks tying back to the income statement and cash flow 5.Cash Flow Statement — indirect-method cash flow statement (CFO/CFI/CFF), reconciling net income to the change in cash and linking to the Balance Sheet 6.Ratios & Summary — a KPI panel with margin, efficiency, and return ratios, plus SUMIFS-based period totals for revenue, net income, and marketing spend 7.Dashboard — a forecast-summary dashboard with a scenario selector and revenue/net income/EBITDA-margin charts (Base case: ~19% EBITDA margin through the forecast, Net Income growing from ~$5.0M to $5.8M FY2026F–FY2028F) Why it matters: Every figure flows from a single set of assumptions — change the active scenario and the entire model, from the P&L down to the dashboard chart, updates automatically. Nothing is hardcoded, which is exactly what makes it defensible in front of a client or professor. Skills demonstrated: Financial modeling · Three-statement integration · Scenario/sensitivity analysis · Advanced Excel (OFFSET, MATCH, SUMIFS, dynamic named ranges) · Dashboard design · Forecasting
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