CSS Drop Down Menu - GodMoon.com

Excel Spreadsheets For Cash Flow Forecasting Deluxe TRIAL FREE DEMO

Excel Spreadsheets For Cash Flow Forecasting

> FREE TRIAL DEMOExcel-Spreadsheets-For-Cash-Flow-Forecasting Business & FinanceApplications ApplicationsExcel Spreadsheets For Cash Flow Forecasting Deluxe Excel Spreadsheets For Cash Flow Forecasting Deluxe The decription page for Excel Spreadsheets For Cash Flow Forecasting Deluxe Description

Excel Spreadsheets For Cash Flow ForecastingExcel Spreadsheets For Cash Flow Forecasting Deluxe


Author Company: Millennium Software Inc

Excel Spreadsheets For Cash Flow Forecasting Deluxe Cash Flow Spreadsheets provide all the "cash flow reports and forecasts" you

Excel Spreadsheets For Cash Flow Forecasting Deluxe Screenshots reviewed in Applications directory of Business & Finance
File Size: kB
OS: Windows 98 / NT / 2000 / ME / XP / VISTA
License: Shareware - Time Limit, free to try, 99.95 to buy.

Software Developed by Millennium Software Inc

Excel Spreadsheets For Cash Flow Forecasting Deluxe FREE TRIAL DEMO software Download now ( kB)

buy Excel Spreadsheets For Cash Flow Forecasting Deluxe now Click to buy from RegNow (99.95$)


Description :

Excel Spreadsheets For Cash Flow Forecasting Deluxe - Cash Flow Spreadsheets provide all the "cash

Cash Flow Spreadsheets provide all the "cash flow reports and forecasts" you need to forecast your exact cash position ahead with quick look up of any daily balance 1-120 days forward using simple listing of payables and receivables. Plus consolidation of five subsidiary offices or divisional daily cash reports into one combined cash flow report. Plus two free bonus spreadsheets calculate the NPV and IRR of investment cash flow forecasts.

CASH FLOW SPREADSHEETS Plug-ins for Excel

Business Cash Flow Reporting 3.0.xls

Business Cash Flow Reporting supplies six plug in templates for managers to enter daily cash sales, returns & allowances, receivables, other receipts.

Supplies 25 expense items including wages, pensions, staff salaries, employee benefits, insurances, materials and supplies, security, office expenses.

Capital purchases, loan repayments, non recurring costs and amounts to escrow.

Business Cash Flow Reporting compute daily balances and updates month to date balances.

Each of five spreadsheets are consolidated into the final combined Cash Flow report, which display daily combined totals for all headings above and the net cash position each day.

NPV/IRR modelling cash flows for up to 60 years and 120 months.

Cash Flow Forecasting 3.2 plus demo:

Cash Flow Forecasting provides the complete plug in tools for cash flow management, supplies all the following:

Calculator 1: Present value of cash to be received in the future. (Adjust delayed cash receipts for inflation).

Calculator 2: Late payment charge between any two dates calculated at any interest rate.

Calculator 3: Future value of a cash amount compounded from todays date.

Calculator 4: Future value of a cash amount compounded between any two dates.

120 days cash forecasting spreadsheet: Excel grid forecasts your cash balances on any date between 1-120 days from any starting date following entry of payables and receivables and days due. Quick view forecasts any number of days ahead and summary cash flow totals for the entire period.

Plus: Payables/Receivables conversion foreign currency to/from your local currency: If you import or export goods in a foreign currency and need to convert your receivables and payables into your local currency at the most recent exchange rate, use these plug in templates to calculate your current total receivables/payables in your currency. Latest exchange rates are updated daily using Excels Import web data toolbar.

Plus: Adjustable Investment Cash Flow Forecasting spreadsheet:
Use this spreadsheet to prepare capital project cash flows. Calculate net present values and internal rate of return. You can adjust cash flow out and cash flow in by simply entering any percentage variances and the spreadsheet recalculate all balances and rates of return.

Plus: Working Capital Cash Requirement spreadsheets.

Calculator table: Enter your days sales outstanding forecast, days inventories outstanding forecast and days payables outstanding forecasts, for any period, plus sales forecast and the calculator displays working capital cash requirements and changes in cash requirements for five consecutive annual periods starting at any date.

EBITDA Forecasting spreadsheet:
Templates forecast monthly sales by product, gross margin, company expenses and EBITDA, EBIT, Cash Flows and profit/loss.

Daily Cash Flow Forecast spreadsheet:

A quick way to calculate daily cash balances using payables receipts and cash expenses out.

Zip download

The download file contains: Business Cash Flow Reporting 3.0, Cash Flow Forecasting 3.2 & demo. Locate the download file and unzip first of all before you try to run in Excel. There are three separate files within the download zip file.



This is the Shareware version. The full version can be purchased by clicking on the "Buy Now" button below for around $99.95 USD.

buy Excel Spreadsheets For Cash Flow Forecasting Deluxe now Click to buy from RegNow


Excel Spreadsheets For Cash Flow Forecasting trialExcel Spreadsheets For Cash Flow Forecasting demoExcel Spreadsheets For Cash Flow Forecasting freeExcel Spreadsheets For Cash Flow Forecasting downloadExcel Spreadsheets For Cash Flow Forecasting Deluxe


Search for more Applications software in Business & Finance directory
Keywords: Excel Spreadsheets For Cash Flow Forecasting Deluxe demo: download Excel Spreadsheets For Cash Flow Forecasting Deluxe:Excel Spreadsheets For Cash Flow Forecasting Deluxe free download :Excel Spreadsheets For Cash Flow Forecasting free download:Excel Spreadsheets For Cash Flow Forecasting :Excel Spreadsheets For Cash Flow Forecasting review :Excel Spreadsheets For Cash Flow Forecasting review::: download Excel Spreadsheets For Cash Flow Forecasting Deluxe: : Excel Spreadsheets For Cash Flow Forecasting Deluxe

More Products from company Millennium Software Inc :

  1. Amortization Software (Two Programs) Deluxe - AMORTIZATION (TWO PROGRAMS PACKAGE).CHECKMY LOANS 2000 (WINDOWS PROGRAM)
  2. Universal Pricing Calculators Deluxe - Universal Pricing Calculations for Excel
  3. SecureOffice123 Gold Account Deluxe - SecureOffice123 Gold AccountSecureOffice123 - Run your excel and word files on
  4. Monthly Financial Ratios Windex (2) Deluxe - Monthly Financial Ratio Templates - WINDEX PLUS FREE: SecureOffice123 - Run
  5. Inventory Scheduling For Excel Deluxe - #7024 - Inventory Scheduling With Excel - Weekly Stock Scheduling
  6. FastPlan PRO 7.2 Five Year Business Forecasts Deluxe - FASTPLAN 7
  7. Excel Templates For Net Present Value and IRR Deluxe - Investment-Calc provides all the "financial models" you need to calculate the
  8. Excel Templates For FASTPLAN PRO Version 5.0 Deluxe - Financial Plan Forecasting With Excel.With FastPlan 5
  9. Excel Spreadsheets For Cash Flow Forecasting Deluxe - Cash Flow Spreadsheets provide all the "cash flow reports and forecasts" you
  10. Asset Register PRO 5.2 For Excel Deluxe - Asset Register PRO 5.2 - Excel add-0n.Our new version 5
  11. QuickValue PRO - Calculate Business & Share Valuations with QuickValue 2002 and Excel
  12. Master Budgets PRO - For Excel (All Versions):Master Budgets PRO consolidates 10 individual budgets
  13. Investment-Calc PRO For Cash Flow Analysis - Investment-Calc 2002 PRO Version 6.0 for Excel
  14. INVESTMENT-CALC PRO 2002 - Investment-Calc PRO 2002 for cash flow analysis provides 18 ready to use Excel
  15. Financial Ratios For Business Performance Measures - Calculate Financial Ratios Using WINDEX (5) For Excel
  16. FastPlan PRO For Business Plans - FastPlan PRO Version 3
  17. FASTPLAN PRO Version 3.0 - FASTPLAN 2001 provides an integrated suite of spreadsheets for Excel 97 & 2000

Check for all products list from Millennium Software Inc ...


Download iPod Software Download Games Popcap Game DVD Pro Software CSS Menus Free Trial Demo SpywareDoctor SoftWare Club Download Software TOP Meed Shareware SoftWare Club Activex Controls | Barcode Font | Bejeweled 2 | Book Reviews | Chuzzle Game | Computer Game | Software Free Trial Demo | Upload Software | Download Software | Download (( | DVD Clone Factory Download | DVD Clone Studio Free | DVD Cloner II Trial | DVD Santa Demo | Feeding Frenzy Deluxe | Free Download | Free Download Software | Free Game Downloads | Full PC Games | Game Download | GodWot Search Engine | Harry Potter and Half Blood Prince | Harry Potter Books | Heavy Weapon Game | JavaScript Code | Javascript Download | Mobile Music Polyphonic | Ordering Software | PC Software Download | Purchase Software | Spy Adware | SoftWare Club | Top Meed Directory | Try Software For Buy | Video Game | Win Backup Software | Software Directory | Popcap Game | Trial Demo Software | Buy Direct | Trial Free Download | CSS Menus | GodMoon Software Free Trial Demo Ýêñêëþçèâíûå òóðû