Audio | Business & Finance | Desktop Enhancements | Games | Home & Education | Internet | Multimedia & Design | Software Development | Utilities | Web Authoring | Others | CD/DVD Tools | Video | Security & Privacy | Home | PDA & Mobile | Security Tools | Anti Spam | iPhone Video Converter | DVD Ripper | DVD Converter
Search
Cucusoft DVD Ripper+Video Converter Ultimate Suite Cucusoft DVD Ripper+Video Converter Ultimate Suite is the most powerful all in one video file converter on the planet.DownloadPurchase Spotmau PowerSuite 2010 The most useful CD to solve any problems and easily fix your PC!!!!Purchase Dragon NaturallySpeaking 10 Standard Talk to your computer and watch your spoken words instantly! Purchase ePreserver Epreserver - A Fast Way to Switch Ur Email to a new email applicationsPurchase Cucusoft iPhone/iTouch/iPod to Computer iPod/iPhone to computer transfer tools to backup your music, video, photo...Purchase
com-download.net > Business & Finance > Applications >Cash Forecasting, Credit Controls, Scheduling
Applications
Top Sellers

Cash Forecasting, Credit Controls, Scheduling

Cash Forecasting, Credit Controls, Scheduling
Publisher: Millennium Software Inc
Date added:10-Mar-2003
Rating:
File size: 0 K
Language: English
License: Shareware - Time Limit
Price :$169.95
OS : Windows 98/NT/2000/ME/XP/VISTA
UpdateDate : 30-Nov-2009
Requirements : 128MB RAM,10 MB of hard-disk space for program installion.

Cash Forecasting, Credit Controls, Scheduling Information

Cash Flow Forecasting ? 150 days ahead, 12 Month Cash Operating Plan, Customer Credit Control, Daily Cash Consolidations, Scheduling Payments - Five new Excel workbooks for better cash management during 2009.

Enter this promo code into the Coupon code field located beneath the product title in the Order Form for a 25% price discount. Then click Update. Valid until November 7, 2009.

MILL-XRI5-MILL

Cash Flow Forecasting 150 days.xls - Forecast 150 days ahead. List current receivable and payable accounts by date, set target payable and receivable days, generate overdue and late account lists, generate daily, weekly and monthly cash flow forecasts, set targets, analysis variances.
Individual (linked) spreadsheet by tabs > Guide, Targets, Accounts Register, Daily balance forecasts, Monthly forecasts, Create Lists.
The workbook provides daily closing cash balances for the entire 150 day period, summarizes late payers, week end and month end forecast balances.

Cash Operating Plan.xls - 12 month sales and expenses plan spreadsheet links to the working capital spreadsheet where the user enters monthly targets for days sales outstanding, percentage payable to sales, days inventories outstanding to monthly cash forecast spreadsheet presented as Operating and working capital monthly changes -capital requirements ? loan balances requirements ? ending as changes in monthly cash.
Individual (linked) spreadsheet by tabs > Start & Summary, Monthly P_L Budget, Working Capital, Monthly Cash Changes Forecast.

Customer Credit Control.xls ? This workbook alerts managers up front if customers will exceed their credit limits if an order is processed using Excel. Incorporates current credit limit values per customer, accepted order values pending, and net credit positions. Posts STOP each order before output costs are incurred.
Individual (linked) spreadsheet by tabs > Guide, Product List, Customer Credit Status, Order Control, Sales Running Rates.

Daily Cash Consolidation.xls ? When you have different operating divisions reporting different daily income, expenses and capital expenditures on a cash accounting basis, this workbook will consolidate all daily cash in and out reports into combined totals and compare actuals to the overall budget on a monthly basis.
Individual (linked) spreadsheet by tabs > Set up Income-Expense Categories ? Monthly P_L Budget ? Divisions 1-12 Daily Reports ? Month to Date & Variances ? Daily Consoldations.

Scheduling Payments.xls ? Everyone has to schedule who to pay and when. This workbook makes that task easier. Enter all your receivables (or forecast receivables) into the Receivable register in simple Excel list format with the amounts, invoice dates and target (or average) days collection. This page will display alerts when each receivable account is overdue. List payable accounts in the Schedule Payments spreadsheet with amounts and due dates. Adjust payment dates so that you do not exceed daily credit limits which are calculated 150 days ahead in the Rescheduled Balances & Credit Available (summary) spreadsheet. Make cash scheduling more effective and manages daily credit forecasting.
Individual (linked) spreadsheet by tabs > Set Bank Holiday Dates ? Receivable Register ? Schedule Payables ? Rescheduled Balances & Credit.

Zip file download or select CD edition shipping.

Related Softwares:

PocketPC Charting. Stock charts and quotes for Pocket PC. Technical analysis chart overlays.
Various preconfigured copy modes are available for your copy tasks. A wide variety of copy options enable you to adapt the various copy modes to your individual requirements.

Buy Cash Forecasting, Credit Controls, Scheduling
Screenshot
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Buy Now

Cash Forecasting, Credit Controls, Scheduling's Reviews

No opinions. Be the first!

Cash Forecasting, Credit Controls, Scheduling's Awards

More Products from Cash Forecasting, Credit Controls, Scheduling's Company

1.  Financial Excel All Programs Edition
03/Sep/2003
Reviewer:

Financial Excel All Programs Edition provides over 100 business finance spreadsheets, Excel add - ins and Excel Learning Modules.

2.  Excel Costing 2010
03/Sep/2003
Reviewer:

Excel Costing 2010: Our standard costing workbooks include: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.

3.  Financial Ratios with Excel
10/Mar/2003
Reviewer:
Windex 2008 calculates all major financial ratios in Excel from balance sheet, income statement and cash flow templates provided:

Rate of Return on Assets (ROA)
Rate of Return on Common Equity (ROE)
Return on Capital (ROIC)
Common Earnings Leverage
Cash Flow from Operations/Total Cash Flow Ratio
Cash Flow from Investments/Total Cash Flow Ratio
Cash Flow from Financing/Total Cash Flow Ratio
Operating Cash Flow/Current Liabilities Ratio
Operating Cash Flow/Total Liabilities
Operating Cash Flow/Capital Expenditures
Working Capital/Current Liabilities Ratio
Working Capital/Long Term Liabilities Ratio
Working Capital/Total Debt Ratio
Working Capital/Current Assets Ratio
Working Capital/Total Assets Ratio
Income Tax Expense/Revenues Ratio
Total Assets Turnover Ratio
Fixed Assets Turnover
Current Ratio
Acid Test (See note for Quick Ratio)
Accounts Payables Turnover
Days Accounts Payables outstanding
Accounts Receivable Turnover Ratio
Days Receivables Outstanding Ratio
Inventory Turnover
Days Inventory Outstanding
Total Debt to Equity Ratio
Total Debt Coverage ratio
Long Term Debt Ratio
Long Term Debt to Total Assets
Long Term Debt to Shareholder Equity
Total Liabilities/Total Assets
Interest Coverage Ratio
Altman's Z (Solvency) Ratio.

Zip file download or select CD edition shipping.

4.  Lease/Loan Accounts Organizer 2010 - Web Program
24/Mar/2006
Reviewer:
Lease/Loans Accounts Organiser 2010 is our latest web office software which will help you maintain mutiple lease and loan accounts and enable up to 30 members to share if you wish.
5.  QuickValue PRO 2008
10/Mar/2003
Reviewer:

 

Use QuickValue to calculate the worth of any company with Excel.

QuickValue PRO 5.0 provides all our company valuation spreadsheets. Quick Value helps you create valuations quickly and easily.

Site Map | RSS | Links | Terms Of Use | Privacy Policy | Software Developer | Submit Product | Refund Policy | Contact Us | About us
Copyright (c) 2007-2009 com-download.net Inc. All Right reserved.

Cash Forecasting, Credit Controls, Scheduling Download