I’m looking for a freelancer who can set up reliable, easy-to-update budget-forecasting calculations for me. The core need is strictly financial: I want to project cash-in and cash-out over time, spot potential shortfalls early, and test best-case versus worst-case scenarios. Right now I have raw figures and a rough outline of the periods I’d like to project; what’s missing is a solid model that automatically updates when I change the inputs. Excel, Google Sheets, or a lightweight Python script are all fine by me—as long as the logic is transparent, the formulas are clean, and I can tweak assumptions without breaking anything. If you also know your way around investment analysis or loan amortization that would be an added bonus for future phases, but the immediate deliverable is a working budget-forecasting template with: • Clear input fields for revenue, fixed costs, variable costs, and growth assumptions • Built-in charts or tables that instantly reflect any changes • Concise documentation or inline notes so I understand and can maintain the file myself Once the model mirrors my sample data accurately, I’ll consider the job complete.