|
Keywords: business plan, business, plan, cashflow, cash flow, finance, project, planware, forecast, Excel
Description:
For preparing detailed monthly cashflow projections for cash planning, business plans, fund raising etc. for 12 months ahead. Includes facilities for rolling forward projections and sensitivity analysis. For mid-size businesses with sales up to $5m. Especially useful for businesses in tight cash positions. It will help management to plan cash requirements and improve control over cashflows and conserve their cash resources.
|
Supported Operating Systems: Win 3.1x,Win95,Win98,WinME,WinNT 3.x,WinNT 4.x,Windows2000
System Requirements:Microsoft Excel 5, 7, 8, 95, 97, 2000 or 2002.
Install Support: Install and Uninstall
|