Dear Madam or Sir!
As the description is scarce I would like to list my assumptions to the project:
- communication in English is possible (BS and P&L statements will be in German),
- data can be exported from your system in the form that will allow automated data processing (e.g., *.csv),
- you will define the format of the BS and P/L statements,
- you will prepare the instructions for the data/position allocation.
My approach will allow:
- potential re-run for the data corrections,
- based on your request possible additional analysis - scenario, added formulas (expended order and additional payment),
- based on BS and P&L Statements Cash Flow Statement for the viewed years can be carried out (expended order and additional payment).
If my assumptions above are incorrect or the bid is not in the line of your expectations (language or other-wise), please disregard it .
Looking forward. Sincerely,
RM