Negotiable
Undetermined
Undetermined
United Kingdom
Summary: The role of Business Plan Writer focuses on completing the financial section of an existing business plan and ensuring the document's coherence, accuracy, and strategic alignment. The ideal candidate will possess expertise in financial modeling and a solid understanding of business operations, particularly in startup or small business contexts. Responsibilities include developing key financial statements and providing actionable feedback to enhance the plan's quality and investor readiness.
Key Responsibilities:
- Develop and complete the financial section, including Profit & Loss Statement, Cash Flow Forecast, Balance Sheet, Break-even Analysis, and Key Financial Assumptions.
- Review the entire business plan for logical flow, clarity, strategic alignment, feasibility, grammar, formatting, and consistency.
- Provide actionable feedback and revisions to improve overall quality and investor-readiness.
Key Skills:
- Proven experience writing and editing professional business plans.
- Strong financial modeling and forecasting skills.
- Proficiency with Excel or financial planning software.
- Excellent written communication and critical thinking skills.
- Experience working with startups or small businesses is a plus.
Salary (Rate): undetermined
City: undetermined
Country: United Kingdom
Working Arrangements: undetermined
IR35 Status: undetermined
Seniority Level: undetermined
Industry: Other
Job Brief: We are seeking an experienced Business Plan Writer to complete the financial section of an already drafted business plan and to review the overall document for coherence, accuracy, and strategic alignment. The ideal candidate will have a strong background in financial modeling, startup or small business planning, and a solid understanding of business operations across sectors. You should be able to refine, validate, and align the existing content with industry standards and investor expectations.
Responsibilities:
- Develop and complete the financial section, including:
- Profit & Loss Statement
- Cash Flow Forecast
- Balance Sheet
- Break-even Analysis
- Key Financial Assumptions
- Review the entire business plan for:
- Logical flow and clarity
- Strategic alignment and feasibility
- Grammar, formatting, and consistency
- Provide actionable feedback and revisions to improve overall quality and investor-readiness
Requirements:
- Proven experience writing and editing professional business plans
- Strong financial modeling and forecasting skills
- Proficiency with Excel or financial planning software
- Excellent written communication and critical thinking skills
- Experience working with startups or small businesses is a plus
Deliverables:
- Completed financial section in editable format
- Reviewed and revised business plan document
- Optional: One revision round based on feedback
Please share samples of previous work or a portfolio if available.