DD1.NAME

 
 
 
 

Excel Financial Templates + Web Office Programs

Excel Financial Templates + Web Office Programs download now

Our Complete Excel Templates Collection provides all 180 business finance spreadsheets within 30 workbooks. Plus Excel addins and Risk Analysis spreadsheets which will help you manage financial assets, analyze investments, control cash flows, set up budgets and model financial statements and forecasts quickly and effectively.


Our Financial Excel workbooks include:


Project cash flows rate of return targeting using Excel Goal Seek. Adjust any individual income/cost/sale/recovery forecast and drive your project to the desired rate of return.


Investment-Calc spreadsheets analyses Present values and internal rates 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, acquisition synergy net present values, cost of capital, terminal (to infinity) net present values.


30 page Guide to Investment Rate of Return Calculations with formulas including worked examples.


Master Budgeting for 1-10 departments. Consolidates individual budgets year to date and provides monthly variance analysis. 12 months departmental budgets consolidated.


The Fixed Asset Accounting workbook provides all you need to keep track of and forecast depreciation for a maximum 3,000 assets. Use Excel 97-2003, & to work with depreciation records, book values and disposals. It will save you many hours of work with MACRS tax depreciation and deferred tax balances. Recalculate or model asset balances at any month end date.


Instant Balance Sheets. For a more complete description copy this link into your browser.


Excel Costing templates provide standard costing models. 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 financial forecast and transfom these into simulated balance sheets, income forecasts and cash flows.


You can download (or order the CD version) all these financial workbooks as well within this collection : Financial Plan for Bankers & Investors Risk Forecasting Capital Project Justification - Future Values Merger & Acquisition Synergy Values Company Valuation - Rate of Return Solutions Multi Variable Investment Forecasting Net Return on capital After Cost of Capital Calculations Present Value of Capital Investment - and more.


New customers can our add content into our LinkPoint Classifieds and reach all our client base - business people like you for free. Offer ends February 28, 2020.


Categories are:


Want to buy


Looking for hire


Looking to hire>


Looking for quotes


Apps


Training materials


Consulting services


Professional services>


Templates for sale


Software


Content for sale


OS: Windows 95/98/ME, Windows NT/2000, Mac, Windows XP, OS X - Macintosh, Windows NT/2000/2003/SBS2003, Windows Vista
Tags: Excel templates, Excel Add-ins
Excel Costing
Our Excel Costing edition provides:

Standard costs, activity based costs, overhead cost recovery ratios, cost drivers, absorption costs and cost allocation ratios in Excel.

Complete range of product costing formula with eight ready to use costing templates iin the first workbook with Excel costing formula provide unit costs for pricing and profit recovery calculations.

Excel database supplies accurate costs into costing formula.

Benchmark costing ratios.

A Z spreadsheets for Marginal costing - Standard costing Activity based costing Cost drivers Absorption Costing values and Most economic quantity.

Formula and equations each step of the way.

Costing calculations are easy with Excel.
The new edition includes the risk analysis of achieving your gross profit margin goal. Include up to 30 individual product ranges (or services, or any revenue generating activity) and up to 15 unit cost forecasts within the analysis and the spreadsheets consolidates all 30 x 15 variables within the boundaries of your best case, median and worst case cost forecasts to calculate the overall probability of reaching your profit margin goal.

The new edition includes the risk analysis of reaching your gross profit margin goals when customer spending patterns change and these changes impact your unit costs. Runs Monte Carlo simulations of the most probable outcomes and returns the probability of achieving whatever target is set.

Zip file download or select CD edition shipping.
Excel Financial Templates
The Complete Excel Templates Collection.
Our complete collection of Investment Cash Flow workbooks plus Better Finances 2010.

Investment-Calc spreadsheets for Present values and internal rate of return of periodic cash flows, future values of money flows, present values compounded between dates.

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

Asset & Lease Accounting 2008. SL/DB/DDB aggregate depreciation calculations for max 3,000 assets.

Lease Accounting aggregates repayment and interest balances for up to 3,000 capital leases.

Excel Costing templates 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.

FastPlan 9.16 for five year financial plans. Develop your 5 year monthly budgets and FastPlan transfoms these into balance sheets.

Cash Flow & Liquidity Forecasting 2008.xls creates a cash flow forecast to 150 days horizons.

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.

Monte Carlo Sales and Profit Simulators will help you set financial goals and calculate the probability of achievement. Combines Monte Carlo generated sales leads with costs per lead, lead conversion rates, price yields, profit margins.

Zip file download or select CD edition shipping.
INVESTMENT-CALC PRO for IRR & NPV Solutions
Our complete collection of Investment Calc Excel workbooks.

Includes a 30 page Guide fully explaining all the calculations and equations required for time based value of investing. Includes Quick IRR NPV spreadsheets and Future Values.

The investment analysis spreadsheets incorporate values beyond the cash flow forecasting horizon. With our quick and easy to use spreadsheets terminal values are automatically added to project net worth and included in the real return on capital values.

Quick calculation of your firms cost of capital using beta risk look up values from the database included within the workbook. Your firms or your project cost of capital is the real discount rate to apply to all net present value spreadsheets.

Synergy Value schedule calculates the economic and net present value of the financial benefits of an acquisition or merger.

Insurance buy out schedules value any bond to its terminal value.

This workbook includes lots of Present values calculators, and internal rate of returns of investment project cash flows, future values of money flows, present values compounded between dates, present values of a recurring amount, and present value of periodic investments.

Quick NPV and IRR spreadsheets provide present values and IRR of any project for up to 40 years

Plus rate of return of investment portfolios with any buy/sell patterns.

Zip file download or select CD edition shipping.
Investment-Calc Solutions for IRR & NPV
Our complete collection of Investment Cash Flow workbooks for NPV & IRR Solutions plus free Lease/Loans Accounts Organiser web software.

Lease/Loans Accounts Organiser web sharing software.

Informational pages here:
Purchasing power values (present values):
https://mlnsoft.1-doc.com/v/305867/773.html
Working with Excel:
https://mlnsoft.1-doc.com/v/220954/774.html
Download the following now or select the CD option:

Includes a 30 page Guide fully explaining all the calculations and equations required for time based value of investing. Includes Quick IRR NPV spreadsheets and Future Values.

The library of investment analysis spreadsheets incorporate present value beyond the cash flow forecasting horizon. With our quick and easy to use spreadsheets terminal values are automatically added to project net worth and included in the real return on capital values.

Quick calculation of your firms cost of capital using beta risk look up values from the database included within the workbook. Your firms or your project cost of capital is the real discount rate to apply to all net present value spreadsheets.

Synergy Value schedule calculates the economic and net present value of the financial benefits of an acquisition or merger.

Insurance buy out schedules value any bond to its terminal value.

This workbook includes lots of Present values calculators, and internal rate of returns of investment project cash flows, future values of money flows, present values compounded between dates, present values of a recurring amount, and present value of periodic investments.

Quick NPV and IRR spreadsheets provide present values and IRR of any project for up to 40 years

Plus rate of return of investment portfolios with any buy/sell patterns.

Zip file download or select CD edition shipping.
Monte Carlo Financial Modeling
Easy & Quick Monte Carlo Risk Analysis and Modeling Spreadsheets will help you model financial risks and set goals quickly and effectively.

The Sales & Profit Forecasting Modeler will predict your company sales and profits by combining up to 15 different product or profit center estimates of incoming sales leads, costs per lead, leads conversion rates, price yields, gross profit margins, G&A; recovery rates and their upper and lower limits. Forecasts probabilities achieving any sales or profit targets using Monte Carlo simulations.

The Monthly Sales Modeler provides confidence level of reaching any 12 month sales goal using Monte Carlo sales forecasting analysis.

The Capital Project modeling provides the probability that investment capital will be justified by returning the target ROIC value set by the user when up to 15 variables are combined. Investment simulations apply Monte Carlo calculations. This Sim simply works out whether a target ROIC value will be reached or not. InvestmentSIm listed below analyses an entire 10 year investment period and calculates the most probable levels of IRR, ROIC and NPV.

The Investment-Calc modeler provides a 10 year Monte Carlo based simulation of any investment project, combining all years 1-10 variables to predict the most probable values for IRR, ROIC and Net Present Values.

The Gross Profit Margin modeler (2 workbooks collection) moderls gross profit margins when up to 15 variables and product mixes are combined applying Monte Carlo cost simulations and when the revenue stream and resulting unit costs varies between upper and lower limits.

All workbooks will run in Excel 2007.

Download a zip file or purchase the CD edition.

Download a zip file or purchase the CD edition.
Top downloads




© Copyright. . DD1.NAME. All Rights Reserved. Terms | Site Map