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Halimah Nakazibwe

Halimah Nakazibwe

Bookkeeping, Financial reporting & Administrative support

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Cover image for Daily Financial Ledger & Automated Cash Flow Tracker Short O...
Daily Financial Ledger & Automated Cash Flow Tracker Short Overview / Summary Custom Excel daily report template designed for small business revenue tracking, expense categorization, and cash reconciliation. Roles & Tools Roles: Bookkeeping, Financial Analysis, Data Entry Tools: Microsoft Excel, Google Sheets Project Description / Body (Case Study) Overview Designed and built a clean, automated daily financial reporting sheet for tracking multi-channel sales, operational expenses, and physical stock counts in real time. Key Features & Problem Solved: Daily Reconciliation: Tracks opening cash balance, cash sales, bank deposits, credit transactions, and closing balance to eliminate missing funds. Categorized Expense Tracking: Clear breakdown of daily operational costs (management allowances, labor, transport, and supplier payments). Inventory & Post-Dated Tracking: Tracks opening and closing stock (Broiler/Layer units) and monitors post-dated cheques to maintain healthy cash flow visibility. Clarity & Transparency: Structured layout that provides business owners with instant clarity on daily profit margins without complex software.
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