I run a small FX remittance company and require some urgent fixes and additional things for my current data base
TO be able to email customers ( selected receipts from the database in an email format so they can be read ) in outlook.
A report to be able to deter main what amounts have been ordered for that day to what bank account in Thailand and the total amounts per bank to be able to run any time
On the customer printer Dual A5 receipts additions of ( Money will cleat tomorrow .. Currently a tick box in transfer section) and also what bank in thailand ( our bank has been selected ) THis is also to show on daily report
Also if the customer is outside BKK and fee is charge to show on the receipt ( Outside BKK or No FEE if inside ) this is all in current data but not on reports or reciepts ( we can select which to charge or no ) review data base to understand.
I also require the daily report to be run over a range of days..
Plus a review of current set up for accounting to calculate profit / fees and so on and any other suggestions as needed. Also a way to archive some data but still access if needed or possible.
I will email database as i cannot attach it but it is in access 2007 ( Customer details and translations is the basics )
16 freelance font une offre moyenne de $348 pour ce travail
We have ample exposure in SQL concepts, VBA & MS Access. We have developed and currently implemented many client implementations. The product was developed purely in VBA & MS Access. Regards