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I need a robust, investor-ready startup financial model that brings my entire story to life in numbers. The model should cover all three core statements—income statement, balance sheet, and cash-flow statement, and roll them into a flexible, driver-based framework I can tweak for different growth and funding scenarios. It should open cleanly in Excel, use clear input tabs for assumptions, and auto-populate monthly and annual projections. Charts and a high-level dashboard that summarises revenue drivers, burn rate, runway, and key ratios will help me speak confidently with potential investors and internal stakeholders alike. Deliverables: • Dynamic spreadsheet with linked Income Statement, Balance Sheet, and Cash-Flow Statement • Assumptions tab with easy-to-edit growth, cost, and funding drivers • Scenario & sensitivity toggles (best, base, worst) • At least two printable summary pages suitable for pitch-deck inserts Acceptance criteria: all links must reconcile, the three statements must balance, and every hard-coded number needs a clearly labelled input cell. Once the file passes a quick stress-test on my end, the job is complete. If you have template examples or past startup models to showcase, let me see them so we can move quickly.
Project ID: 40513266
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