What is GM Asset Controlling?
GM Asset Controlling is greenmatch’s dedicated module for managing the financial performance of operational renewable energy projects, leveraging real-time data from bookkeeping to ensure accurate and up-to-date financial planning.
How does it work?
GM Asset Controlling builds upon the financial plan of your project, initially modeled using GM Valuation. By integrating up-to-date financial data from your accounting system, it enables continuous updates to your financial plans.
By consistently aligning your project with the latest historical figures and future assumptions, you ensure that you always have the most accurate estimation of the actual returns your investment can achieve.
In the following section, you will learn how to align the chart of accounts used in your SPVs with the standardised chart of accounts in green[::]match.
Brainstorming
Beispieldateien in Doc ablegen
Hauptbuch, Finanzabschluss
Weitere Dateien
alle Keys jeweils hier aktuell halten
Mapping Excel erstellen um csv für Kontenzuordnung hochzuladen
Neuer Aufbau
0. Intro Was ist Asset Controlling? (OS)
1. Benötigte Daten mit Beispielen (TST)
2. Importprozess (TST)
Hauptbuch (info für import per API siehe API doku)
Finanzabschluss (info für import per API siehe API doku)
3. Was ist Mapping (TST)
3.1 Mapping
3.2 änderungen von mappings
4. actuals berücksichtigen
5. übergang actual pan
5.1 release NUV
5.2. interaction actual plan