Financial Excel All Programs Edition Coupon and Review


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Financial Excel All Programs Edition
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financial excel all programs edition coupon - 28%...40% OFF

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The Financial Excel All Programs Edition provides over 100 business finance spreadsheets, Excel add ? ins and Excel Learning Modules.

The list below provides a partial description of all the Exel workbooks and zip file collections which are downloadable or delivered on CD.

Investment-Calc 2008 workbooks for Present values and internal rate of return of periodic cash flows, future values of money flows, present values compounded between dates, present values of a recurring amount, present value of periodic investments. The new 2008 edition includes acquisition synergy net present values, cost of capital accounting for risk, terminal (to infinity) net present values plus an updated Quick Guide to Investment Decisions.

Project investment analysis: Inputs unit volume and unit price plus adjustments for sensitivity, cost of sale, company expenses, investment amount, debt/equity, tax rate, depreciation rule. Calculates EBITDA, operating and after tax profits, average annual income and ROIC, net present values & IRR.

12 month budgeting spreadsheets for 1-10 departments. Consolidates individual budgets year to date and provides monthly variance analysis.

Asset Register 2008. Straight line depreciation register for 10,000 assets. Assets may be allocated to any one of 25 classes and 25 locations. Depreciation and book value for each class and locations are calculated each month end.

Standard Costing templates (complete collection) provides equipment, employee and materials data values to calculate standard costs.

Financial ratio analysis. Balance sheet, income statement and cash flow analysis calculates 50 key ratios, including operating ratios, shareholder returns, working capital, debt, sales days, inventory turnover, and liquidity.

FastPlan 2008 for five year financial plans. Three separate workbooks to halp develop quick five year monthly forecasts ? P/L-Balance Sheet and Cash Flows ? all from monthly revenue and expense budgets. No previous accounting experience required.

Cash Flow Forecasting 2008 generates daily, weekly & monthly cash flow forecasts to 150 day horizon from Excel list of accounts payable and receivable accounts.

If you need to calculate cash flows 3 years ahead use the extra CASH BURN forecasting spreadsheet provided within this zip file.

The price of our Financial Excel All Programs Collection will be increased on September 1, 2008 by 25% and this notification provides customers with the opportunity to purchase before this price increase.

Download all 100 financial Excel files, or order the CD version.

You can download a zipped file containing 12 bonus excel files/workbooks/templates immediately after purchase including Balanced Scorecard, Capital Project Appraisal, Excel Amortization, Source & Application of Cash flows, Financial Models. THESE ARE NOT OUR PRINCIPAL FINANCIAL APLLICATIONS SEE BELOW.

Despite the notice below that "You will be able to download the product immediately after ordering!", there will be a small time delay as explained above.The Excel Gold Edition provides 150 business finance spreadsheets plus 9 Excel Add-ins and full Excel Training Course. The following is a partial summary: Present values and internal rate of return of periodic cash flows, future values of money flows, present values compounded between dates, present values of a recurring amount, present value of periodic investments. Project investment analysis: Inputs unit volume and unit price plus adjustments for sensitivity, cost of sale, company expenses, investment amount, debt/equity, tax rate, depreciation. 12 month budgeting controls for up to departments. Asset Register PRO. Straight line or declining balance monthly depreciation register. Company valuation spreadsheets. Balance sheet, income statement and cash flow analysis calculates 50 key ratios, including operating ratios, shareholder returns. FastPlan 9.16 will develop your 5 year monthly budgets and FastPlan transfoms into balance sheets, income forecasts and cash flows. Plus nine Excel Add-ins which will make your Excel 100 times more productive, efficient and collaborative. Using a quick copy/paste (or export from Quicken, SAP etc) into our accounts receivable and payable spreadsheets you can see how your cash is going to work out for 90 days ahead. Everything is so easy with Excel. Excel links all your receivable and payable accounts together to provide a day by day cash flow summary. If you need to calculate your cash burn each day for 150 days ahead use the cash forecasting spreadsheet. Zip file download or select CD edition shipping.
50+ templates for business finance plus Excel Add-ins.

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