|
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 larger businesses with sales $2m+. 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
|