Hi all, I am looking for a customised Cash Flow Tool. The tool should have input flexibility in cash flow changes. I would like to play around with changes in input value and Interest value. The projection should be going over 30 years We are talking about 13 CF items Can we work in Google Sheets together? Thank you
First requirement, Hi, this is a partnership. There won't be any upfront fees, but once clients comes in, than yes. I will discuses the matter. Basically, Financial team that can provide financial services, materials, operations materials without any cost associated, the financial model itself will be calculated.
In the attached file you will find an article. Which is quite technical and requires some knowledge in math and financial modeling. I need someone who can translate an example from this article into a python code which will execute similar result.