Write a detailed financial analysis/ assessment for this company in the years 2020-2021 discussing the following from the financial report provided
– an income statement assessment discussing the revenue growth, net profit, COGS , operating profit, sales segmentation, profitability
-a balance sheet assessment discussing the cash cycle, current assets like ” inventory” and non current assets, bank debts , current and non current liabilities, capital structure and liquidity
-cash flow assessment discussing the net cash used and net cash from investing activities, cash and cash equivalents
please write each detailed assessment separately not in the same paragraph+ please look at the notes for each of them to add further info, please keep in mind the company in the industry it is operating in.