Investment-Calc PRO For Cash Flow Analysis Excel Spreadsheets - Overview 14
Many capital investment project forecasts do not conform to the simple rigid structure of a single investment outlay in period one followed by cash flows over future periods. Construction projects for example require continuing investment expenses over many periods with later final or staged completion payments. Calculating the Present Value of future income receipts in any irregular pattern is another non-conforming type of present value calculation requirement.
Version 7.0 supplies tools to handle the rate of return and present value of any forecast pattern of cash flow income and expenses.
New features in version 7.0 help users create quick forecasts using a simple list method of forecasting cash income/expenses and month #, (columns C-E below) making entering data very simple and snappy. No more searching for the correct columns or periods to create or change a forecast, simply enter the forecast data in a simple list in columns C-E, and the program sends the data to the correct period and recalculates Present Values, Profits, Mark Ups and Internal Rate of Returns. The forecast can be created in any list sequence, so that changing or new assumptions can be incorporated very quickly, easily and simply. The 50-year cash flow forecasting grid is next right in the program.

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Additional Information
Page 1.Excel Cash Flow Analysis - prepare a 1-15 year cash flow forecast
Page 2.Automatic Excel calculations of annual repayments of loan & lease principal
Page 3.Sensitivity Excel Analysis calculations - maximum rate of return position
Page 4.NPV-IRR analysis Excel spreadsheet - values for any capital investment
Page 5.Excel Templates: accelerated depreciation tax calculations
Page 6.Excel Templates : NPV-IRR worksheet annual cash flows and Net Present Values
Page 7.Capital investment projections Recalculations Excel Spreadsheet
Page 8.Two Economic Value Added Excel worksheets - EVA Excel Templates
Page 9.Forecast cash flows Excel Templates over 1-30 years by automating calculations using constant ratios
Page 10.Excel Spreadsheet - compounded interest totals for an investment deposit
Page 11.Excel Templates to value company shares using current free cash flows
Page 12.PV Table 1 calculates PV of annual recurring amount for Cash Flow Analysis
Page 13.PV Excel Table 2 calculates the PV of any future amount received until 30 years
New In Version 7.3
Excel Cash Flow Analysis - prepare a 1-15 year cash flow forecast
Imported financial data transposed to easy lookup combo boxes
Start calculating NPV & IRR using Goal Seek as well as Excel IRR
After tax analysis Base Case forecast adjusted by varying unit volumes and price levels
Use Continuing Value calculations to include project value beyond the forecast period
Quick NPV/IRR forecasting schedules for annual projections (to 60 years) and monthly (to 120 months)
Share Valuation: Value on earnings or cash flow projections
Basic accounting returns & EBIT forecasting, and IRR of a profit forecast
Capital Project analysis with detailed expense and income itemizations
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| Additional Information: Investment-Calc Pro For Cash Flow Analysis | ||
Require Excel 97 or greater. Os : Windows or Apple Mac |
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All Programs Gold Edition of Business Support Programs for Excel - contains Investment-Calc Pro and many other programs
System Requirements
Platform : Windows or Mac & MS Excel 95/Excel97/Excel 2000/Excel XP/Excel 2002/Excel 2003 or MS Office 7(95) or later.
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30 day money back guarantee!
| Additional Information: All Programs Gold Edition | ||
| OS :
Windows 95, 98, ME, NT/2000 or XP Excel 97 or later. Web data requires Excel 2000 or above and Windows XP/2000/2003 or later. |
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