Part Time
N/A
TBD
May 7, 2026
We are seeking a reliable and detail-oriented Financial Specialist to dedicate every Sunday to update 2 financial sheets with key data. This role involves tracking weekly financial metrics to ensure accurate cash flow and profit calculations, including refunds.
Responsibilities:
Enter data into 2 existing sheets, including:
• Costs and revenue
• PayPal balance
• Bank balance
• Cost of goods (COGS)
• Ad spend
• Holds (pending payments)
• Supplier payments
• Refunds (processed and pending)
• Ensure all data is accurate and calculations are precise.
• At the end of the sheets Confirm the exact cash flow and profit.
Requirements:
• Basic experience with financial data entry and spreadsheet tools (e.g., Excel or Google Sheets).
• High attention to detail and accuracy.
• Professional and discreet when handling sensitive financial information.
What We Offer:
• Flexible work-from-home opportunity.
• A simple, consistent task requiring every Sunday.
• More tasks and growth in the company
• Weekly payment at a competitive rate.
How to Apply:
If you’re interested in this role, please send us a brief summary of your experience with financial data or spreadsheets. Include your availability, your expected hourly rate and why we should hire you for this job. To confirm you’ve read the entire job post, please start your application with the word ‘Accounting' otherwise we will not open your application.