I'm looking for a skilled and experienced finance professional who can create a comprehensive cash flow model for me, incorporating the cost basis of my private stock and its growth rate. Key facets of the project are:
- The model should show the sell-off of 20% of my stock holdings over a period of 5 years.
- The model must incorporate the current tax table and account for its effect on my investments.
- The remaining stock should grow at a predetermined rate, which will be further specified.
- The model should extend from the start date to potentially 30 years later.
- The desired outcome is a projection of cash flows, thoroughly analyzed to inspire critical financial decisions.
- The final product must be presented in a financial software report.
Ideal freelancers for this project will have experience in financial modeling, proficiency in financial software tools, and a strong understanding of tax implications on stock and investment growth.