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Complete Excel Templates Collection

Complete Excel Templates Collection
Publisher: Millennium Software Inc
Date added:26-Nov-2007
Rating:
File size: 0 K
Language: English
License: Shareware - Time Limit
Price :$339.00
OS : Windows 98/NT/2000/ME/XP/VISTA
UpdateDate : 17-Jul-2008
Requirements : 128MB RAM,10 MB of hard-disk space for program installion.

Complete Excel Templates Collection Information

The Complete Excel Templates 2008 Collection provides 150 business finance spreadsheets, Excel addins and Excel Learning Modules plus nine new Monte Carlo Risk Analysis & Forecasting spreadsheets which will help you manage financial risks and set goals quickly and effectively.

Investment-Calc 2008 spreadsheets 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, terminal (to infinity) net present values plus an updated Quick Guide to Investment Decisions. Plus Capital Project Cost recovery Risk Analysis.

Project investment analysis 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 PRO 2008. Straight line depreciation register for max 10,000 assets. Assets may be allocated to any one of 100 classes and 100 locations. Totals depreciation & book values for individual assets, classes and locations. Any single asset record within a class can be adjusted to any depreciation rate.

Excel Costing templates (complete 2008 collection) provides equipment, employee and materials data values to calculate standard costs. Now includes Profit Margin risk analysis by simulating probable profit outcomes when different cost variances are consolidated.

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 9.16 for five year financial plans. Develop your 5 year monthly budgets and FastPlan transfoms these into balance sheets, income forecasts and cash flows.

Cash Flow & Liquidity Forecasting 2008.xls creates a cash flow forecast to 150 days horizon from Excel list of accounts payable and receivable with forecast banking dates. Set targets for late paying clients and Excel will notify you of your current late payers.

Now includes complete income statements, balance sheets and cash flows forecasting schedules which you can use to enter best case, median case and worst case 12 month financial forecasts. ?Job one in 2008 is liquidity management?.

If you need to calculate your cash burn each day for 150 days ahead use the extra CASH BURN forecasting spreadsheet provided within this zip file.

Bank Cash Flows _ Budgets _ Actuals_Forecasts_Variances for Excel. With this workbook you can identify each individual expense and income by category flowing through your bank account in each of 12 monthly periods, budget and forecast your monthly cash flows ahead and track cash flow variances against budget.

Sales & Profit Forecasting 2008 will help you forecast sales and profits from combining up to 15 different product or profit centers with varying ranges of inputs and costs, including volumes of incoming sales leads, costs per lead, lead conversion rates, price yields, profit margins, G&A recovery rates. Forecasts probabilities of achieving sales and profit goals.

Zip file download or select CD edition shipping.

You can download a zipped file containing 12 bonus excel files/workbooks/templates immediately after purchase including Monte Carlo Forecasting 2008, 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.

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More Products from company Millennium Software Inc (Total 32 software)
1.  Financial Excel All Programs Edition
03/Sep/2003
Reviewer:
The Financial Excel All Programs Edition provides over 100 business finance spreadsheets, Excel add ? ins and Excel Learning Modules. <P> The list below provides a partial description of all the Exel workbooks and zip file collections which are downloadable or delivered on CD. <P> 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. <P> 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. <P> 12 month budgeting spreadsheets for 1-10 departments. Consolidates individual budgets year to date and provides monthly variance analysis. <P> 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. <P> Standard Costing templates (complete collection) provides equipment, employee and materials data values to calculate standard costs. <P> 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. <P> 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. <P> 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. <P> 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. <P> Download all 100 financial Excel files, or order the CD version. <P> 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. <P> 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.
2.  Standard Costing Templates 5.0
03/Sep/2003
Reviewer:
Standard Costing Templates for Excel helps you calculate product costs using different costing systems. Standard Costing Templates includes abc system and correct overhead allocation methods.
3.  Monthly Financial Ratios Windex (2)
10/Mar/2003
Reviewer:
Monthly Financial Ratio Templates - for Excel.Compare two consecutive monthly financial periods with Windex. Calculates all the major financial ratios for comparsion between periods.
4.  Lease/Loan Organizer
24/Mar/2006
Reviewer:
Our asset and lease accounting Excel workbook provides all you need to manage and keep track of up to 3,000 asset and capital lease accounting records. You can select straight line depreciation or declining/double declining deprecation methods for the Asset Register. You can export asset records from your current accounting package into Excel and copy the asset descriptions, purchase costs and dates of purchase straight into the Asset Register. <P> Each asset is defined by location (100 possible), asset class (100 possible), depreciation months and salvage percentage. <P> Individual assets can have their own unique depreciation life independently of the class assigned. <P> Everything is so easy with Excel. Excel links location, asset class, depreciation lives together and you can filter and sort records just anyway you want. <P> Depreciation totals are reported for any month end. Users can wind the month end date backwards or forwards to recalculate asset purchases, depreciation and book values by department and asset class for any selected date. <P> The Lease Register reports the repayment status, interest expense and remaining balances for up to 3,000 capital leases at any selected month end. Lease terms can include pre-payments and final balloon payments. Users can create up to 100 individual Master Lease ID categories with 3,000 sub-components or classify leases by Class or locations. Lease interest, outstanding balances and current month principal repayment are totalled for each single Master Lease ID. <P> Users can simulate the results which will arise from changing any combination of repayment amount, interest rate or final balloon payment terms for any lease. Calculate the new final repayment month and the difference in interest expenses between the current repayment terms and adjusted terms for cost saving projections. <P> Zip file download or select CD edition shipping.
5.  QuickValue PRO 5.0
10/Mar/2003
Reviewer:

QuickValue PRO 5.0 is our latest version (February 2006) of this tried and tested business valuation analysis tool for Excel popularly including current valuation benchmarks which are updated monthly.

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