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We work with 8 different banks, each bank has a different structure of account statement. The bank statement comes in PDF. We need:
1 - A Software to import those informations (deposit, stocks, withdrawn, dividends....) to a database
2 - Rearenge those informations in order to organize same informations from different banks, for instance, deposits, dividens, stocks (one bank may call a deposit as deposit, other bank may call special deposit or advantage deposit and so on)
3 - Create a XML with a specific format
4 - Create some (4) EXCELL sheets
Deadline must be respected...I have no extra time to give
I do preffer to be done in Visual Basic, but I am open to suggestions
Everything need to be done in 15 days....