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Old 08-04-2007   #1 (permalink)
geet_kunal
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Default Advice please!!!

I am preparing a business plan and have a very acurate profit loss spreasheet but I am aware I also need a cash flow sheet. Does anyone have any good advice on the best way of doing this using XL.
Many Thanks
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Old 08-05-2007   #2 (permalink)
yonderg
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Search google you will get handfull of example and spreadsheet to do what you intend to do. Good luck.
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Old 08-11-2007   #3 (permalink)
robinhood
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Check the HELP feature of your electronic spreadsheet. It has special functions for financial computations. Make full use of these to ease your task.
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Old 09-26-2007   #4 (permalink)
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You have to throughly search the net for this purpose and you may find a solution to your problem. Their are other softwares which will help to ease your task online
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Old 02-02-2008   #5 (permalink)
bens
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Electronic spreadsheets are already equipped with special financial functions to make your financial computing much easier. Alternatively you can use its macro feature to automate your tasks.
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Old 02-04-2008   #6 (permalink)
subesh
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I've found some very useful excel tutorials while searching through google and I suggest you do the same. Remember dog is not man's best friend anymore, google is!
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Old 02-05-2008   #7 (permalink)
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You can find financial spreadsheet by using google or yahoo. Just type financial spreadshet, i think you will find it
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Old 02-05-2008   #8 (permalink)
silentleo
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Quote:
Originally Posted by geet_kunal View Post
I am preparing a business plan and have a very acurate profit loss spreasheet but I am aware I also need a cash flow sheet. Does anyone have any good advice on the best way of doing this using XL.
Many Thanks
My advice, better you do a plan and discuss with someone about that. You can get good information and calculate your earning, profit and loss in 6 month. If you satisfy, you can start and earn from that way.

My advice, focus, workhard and promotion. You will get profit and repeated sales.
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Old 02-11-2008   #9 (permalink)
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So, the balance sheet, income statement, and cash flow statement are the three generally financial statements used by most businesses for financial analysis. There are a lot of software you can use or the simple one is from the office program to manage it.
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