Examination of the company in terms of exchange rate, maturity, interest rate and liquidity risks. Examination of the investment in terms of profitability (Feasibility Reports) 

Financial analysis is aimed at identifying the reasons that create the firm’s need for cash; determining the cash balance of financial instruments (credit, VOB, Forex, spot currency, option, futures, swap, forfeiting, factoring, leasing, IPO, etc.).) to make suggestions for the company to become healthy; To analyze the company in terms of risks such as exchange rate, interest rate, liquidity, default, etc.; To work with the company to end the problem by working with the company to make the financial balance of the company healthy;

All You Need Is A 3rd Eye!