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					Excel Templates
Excel Templates For All Your Needs: NPV Excel templates, IRR, EVA,
Investment Valuation, Cash Flow, Budget Forecasting, and more

Excel Financial All Programs - Complete Excel Templates
Financial Management
Excel Financial Collection provides a huge library of financial workbooks. The following are a
selection of titles. Includes a free version of our webinar group meeting software.
     Acquisition & Reorganization ROR Workbook
     Instant Balance Sheets (income statement, balance sheet, source and application of funds,
        closing balances).
     All Risk Analysis Files (Monte Carlo probability scenarios for profit forecasts,
        investment decisions and cash flow forecasts).
     AR_AP Cash Flow Forecasting
     Asset & Lease Accounting
     Balanced Scorecard Workbook
     Bank Cash Flow Control/Forecasting
     Bond Yield ROR Amortization Workbook
     Budget Forecast Workbook
     Capital Project Appraisal Template
     Capital Project What If NPV & IRR Workbook
     Cash Flow & Liquidity Forecasting 2008
     Cash Flow Control Workbook
     Costings 2008
     FastPlan 9.06
     Fixed Asset Accounting Workbook
     Financial Model Simulator
     Funding Plan PRO
     HR Employee Budget Workbook
     Investment Calc 7.5
     Master Budgeting 4.6
     Monte Carlo Sales & Profits Forecasting 2008 Monte Carlo Investment NPV-IRR Sim
        2008
     Present Value of Future Earnings Workbook
     Price Elasticity Workbook
     QuickValue 5.0
     Rate of Return Calculations Workbook
     Standard Costing Workbook
     Statistics for Business Applications Workbook
     Source & Application of Cash Flows Control Workbook
     Windex 2 Monthly Financial Ratios
     Windex 5 Annual Financial Ratios
     Accounts payable/PO Control Workbook
     Accounts receivable/Invoice control Workbook
     QuickCalc IRR-NPV Cash Flows Workbook
     And more....
FES emailer
FES emailer - POP3 emailer with anti-SPAM, mass email, re-sender, and
encryption tools.
Allows to send selected emails to another e- mail box, to encrypt all saved input and output e-
mails with several user defined 2048 bit keys, to load 20, 200, 1000, or all rows of an email from
POP3 server, to send personified email to many recipients, to remove e-mails without
downloading, to archive old e-mails, to find an email in input, output and archive folders. and
more. And free addition: safe web viewer using default web browser and saver. This program
can remove all active content from a web page - images, scripts, applets, objects, styles, and
more before viewing. You will receive the register key within 1 day.

CreateCallBack (CreatefunctionCallBack)
You must create your callback windows functions for C (c++, c#) manually. Why?
CreateCallBack will generate it automatically with adding all identifiers of this dialog using your
resource.rc file!
You will need just add your code for your events.
     Allows to save your time and to work with the comfort.
     Create the dialog windows fast and easy! All you need is MS Word.
     Run MS Word and open resource.rc file.
     Then open callback.doc file and copy the text of your resource file to this document.
     Then click on the "CreateCallBack" button.
     Alternatively you can run "CreateCallBack" macro.
     Then enter the dialog name in dialog window and the work is done! Just paste your
       callback function to your Visual C project.

FinExcelSoft Securities Excel Templates
FinExcelSoft Securities Excel templates - Contains 26 securities Excel templates:

Contains 26 securities Excel templates: templates for coupons (6 templates), templates for price
calculation (6 templates), templates for Yield calculation (9 templates), discount rate, interest
rate, bond-equivalent yield, macualey duration, modified duratinn for a security.
Free bonus: 10 Annuities Excel templates ann.xls contains Excel templates for: price per $100
face value of security that pays periodic interest, yield on a security that pays periodic interest,
number of periods for an investment based on an interest rate and a constant payment schedule,
future value of an investment based on an interest rate and a constant payment schedule, present
value of an investment based on an interest rate and a constant payment schedule, payment
amount for a loan based on an interest rate and a constant payment schedule. Full instructions.
FinExcelSoft Safe Office
FinExcelSoft Safe Office - A set of financial, statistic Excel templates and
software.
A set of financial, statistic Excel templates and software.
Contains:
1. 5, 10 and 15 Year Project Investment NPV and EVA Excel templates Source data:
    depreciated rate, tax rate, discount rate, fixed and current assets, sales of products, WACC,
    and more. NPV, IRR, ROIC, EBIT calculation for a period 2-100 years.
2. IS Financial Calculator. Calculates NPV, IRR, XNPV, XIRR even more correctly then these
    Excel's functions.
3. Financial Excel templates - business valuation, forecast, securities, amortization, fixed and
    balloon mortgage / loan with amortization schedule, annuities, investment.
4. Statistic Excel templates - regression and correlation analysis, partial correlation.
5. FES emailer - safe POP3 email client with many features including: SPAM blocker, resender
    from one email account to another one, safe saving of emails - with 2048 bit encoding,
    multiple passwords, and much more. Allows you to remove emails without downloading
    them.
6. FES Notes - text editor with 2048 bit encoding, multiple passwords. Allows you to safely
    save financial documents, passwords and so on. Also allows you to find your note.
7. FES alarm - allows you to set a month, day, year, hours, and minutes and track the time.
8. Safe Web Browser - allows you to download web pages, remove any dangerous content
    (scripts and more) from them, save and pass them to your notepad. Please note that the
    Notepad can't run any virus or worm! You can use this to check the page content before
    visiting suspicious web page using your browser.
9. Alarm-Clock.
10. Allows you to encode the files with 2048 bit key.
11. Inventory Manager for Excel - Excel add- in - inventory accounting with hierarchic groups of
    items - car's inventory and so on.
Benefit:
    1. Allows you to encode your input and output e-mails with 2048-bit key. Now nobody can
        read your e- mails.
    2. Allows you to save your notes with 2048 bit key encoding. Now nobody can read your
        notes, reports, account information and more.
    3. Browser vulnerability is very important problem. This software allows you to download
        Internet page and remove ALL active content! Then software saves this page in the file
        and opens a Notepad to view this file!
    4. A virus and worm problem in e- mails is very important now. This software allows you to
        view the e- mail, but has no tools to run its active content! A virus or worm can't anything
        do in this case!
   5.

FinExcelSoft NPV & IRR Excel Templates
FinExcelSoft NPV & IRR Excel templates - Ready to use 6 Excel templates for
NPV/EVA ,IRR/MIRR, EVA, ROIC, EBIT calculation and more.
    1. NPV and EVA Excel templates for 2 to 15 period projects. Source data: depreciated rate,
        tax rate, discount rate, fixed and current assets, sales of products, WACC, and more.
    2. NPV & IRR Excel template for periodic cash flows
    3. NPV & IRR Excel Template for a schedule that is not necessarily periodic.
    4. MIRR Excel template.
    5. Excel templates to calculate NPV, IRR, ROIC, EBIT, and more for 3 up to 100 year
        project. Here the short description of NVP/IRR/ROIC/EBIT calculation. You enter your
        sales forecasts for your 3 to 100 year project, debt to capital ratio, pre-tax cost of debt,
        risk premium, sector beta value, capital, amortization period, balloon (optionally), your
        costs, operating expenses, depreciation, and more. The results: NPV, IRR, ROIC,
        amortization schedule, taxes, EBIT, tax scheduling for 10 periods, discounted cash flows,
        cost of equity, cost of capital, capital gain, and more.
    6. Additional Financial Excel Templates. Requires Excel 97 or later. Contains also
        additional Excel templates to calculate NPV, IRR, ROIC for 10 yaer project. Here the
        short description of NVP/IRR/ROIC/EBIT calculation. You enter your sales forecasts for
        your 10- year project, debt to capital ratio, pre-tax cost of debt, risk premium, sector beta
        value, capital, amortization period, balloon (optionally), your costs, operating expenses,
        depreciation, and more. The results: NPV, IRR, ROIC, amortization schedule, taxes,
        EBIT, tax scheduling for 10 periods, discounted cash flows, cost of equity, cost of
        capital, capital gain, and more.
Additional templates allow you to calculate: effective annual interest rate, annual nominal
interest rate, price per $100 face value of security that pays periodic interest, yield on a security
that pays periodic interest, number of periods for an investment based on an interest rate and a
constant payment schedule, future value of an investment based on an interest rate and a constant
payment schedule, present value of an investment based on an interest rate and a constant
payment schedule, payment amount for a loan based on an interest rate and a constant payment
schedule.


FinExcelSoft FinStat Excel Templates
FinExcelSoft FinStat Excel Templates - NPV, IRR, ROIC, EBIT calculation, fixed/balloon
payments (interest and principal), cost of equity, cost of debt, cost of capital, income taxes
scheduling, balloon/fixed depreciation, capital gain, and more for your 3 up to 100-year projects.
NPV and EVA Excel templates for 2 to 15 year projects. Source data: depreciated rate, tax rate,
discount rate, fixed and current assets, sales of products, WACC, and more.
Plus 141 Excel templates for almost any financial & statistic calculations:
NPV, IRR, MIRR, balloon and fixed loan/mortgage, amortization templates, securities
templates, effective annual interest rate, annual nominal interest rate, price per $100 face value
of security that pays periodic interest, yield on a security that pays periodic interest, number of
periods for an investment based on an interest rate and a constant payment schedule, future value
of an investment based on an interest rate and a constant payment schedule, present value of an
investment based on an interest rate and a constant payment schedule, payment amount for a
loan based on an interest rate and a constant payment schedule, and more. Also contains all
statistic functions.
Benefit: with these Excel templates you can now do financial & statistic calculations more
easily. For example, you enter your source data and the work is done! Now you can see, for
example, NPV and IRR results. Plus step by step instructions!


FinExcelSoft Correlation and Regression
Templates
FinExcelSoft Correlation & Regression Excel Templates -
Allows to calculate correlation matrix and partial correlation matrix, linear, exponential,
polynomial regression analysis.

Additionally, contains 26 securities Excel templates:
templates for coupons (6 templates),
templates for price calculation (6 templates),
templates for Yield calculation (9 templates), discount rate, interest rate, bond-equivalent yield,
macualey duration, modified duration for a security.
Full instructions.


NPV & IRR Excel Template for Periodic
Cash Flows
NPV & IRR Excel Template for Periodic Cash Flows - Ready to use Excel Template for NPV &
IRR & EVA calculations for periodic cash flows in Excel 97 or later.

Allows you to evaluate your business. The net present value of an investment is the current value
of a future series of payments and receipts. The internal rate o f return is the interest rate received
for an investment consisting of payments and receipts that occur at regular intervals.

Here is the short description of NVP/IRR calculation.

You define a cash flow in Excel list, enter a rate of interest for NPV calculation, initial rate of
interest for IRR calculation, and click on a button. NPV & IRR are calculated automatically and
stored in special cells of this template.

Also contains the bonus:
- evacalc.xls - 5, 10 and 15 Year Project NPV and EVA Calculation. NPV and EVA Excel
templates for 2 to 15 period projects. Source data: depreciated rate, tax rate, discount rate, fixed
and current assets, sales of products, WACC, and more.
- MIRR.xls - MIRR (Modified Rate of Return) calculation
- Npvirrdate.xls - NPV & IRR calculations for non-periodic cash flows.
- finExcelSoft.xls - contains Excel templates for the following more usefull financial functions:

NPV, IRR, MIRR, future value of initial principal, effective annual interest rate, annual nominal
interest rate, price per $100 face value of security that pays periodic interest, yield on a security
that pays periodic interest, number of periods for an investment based on an interest rate and a
constant payment schedule, future value of an investment based on an interest rate and a constant
payment schedule, present value of an investment based on an interest rate and a constant
payment schedule, payment amount for a loan based on an interest rate and a constant payment
schedule.


FinExcelSoft Annuities Excel Templates
FinExcelSoft Annuities Excel Templates -
Contains 10 annuities Excel templates: price per $100 face value of security that pays periodic
interest, yield on a security that pays periodic interest, number of periods for an investment based
on an interest rate and a constant payment schedule, future value of an investment based on an
interest rate and a constant payment schedule, present value of an investment based on an
interest rate and a constant payment schedule, payment amount for a loan based on an interest
rate and a constant payment schedule.

Bonus:
investment evaluation 5 Excel templates.
effective annual interest rate, annual nominal interest rate.
2 secutities Excel templates: Price and Yield. Easy function navigation in 4 workbooks.
Use of some complex financial functions are simplified by VBA procedures.
Full instructions.


FinExcelSoft Amortization Excel Templates
FinExcelSoft Amortization Excel Templates:
Calculates straigh- light depreciation of an asset for a single period, sum-of-years' digits
depreciation of an asset for a specified period, depreciation of an asset for a specified period
using the fixed-declining balance method, depreciation of an asset for a specified period using
the double-declining balance method or some other method you specify, depreciation of an asset
for any period you specify, including partial periods, using the double-declining balance method
or some other method you specify. Our free bonus: sec.xls - contains 26 annuities Excel
templates: templates for coupons (6 templates), teplates for price calculation (6 templates),
templates for Yield calculation (9 templates), discount rate, interest rate, bond-equivalent yield,
macualey duration, modified duratinn for a security. Full instructions.


Universal Pricing Calculations for Excel
Universal Pricing Calculations for Excel

The Universal Pricing Excel Spreadsheets calculate price - demand relationships and uses
standard accounting formula to give you the exact price which will produce the maximum profit
for any product.

The user supplies two datasets, demand1@price1 and demand2@price2.
The program calculates elasticity of demand (change in demand for $1 change in price) and the
price which yields the maximum profit
The second part of the program calculates discount price required to create additonal demand
that will sell unused spare capacity or stock at maximum profit.
The third part of the program supplies a costing calculator for Excel. Input these unit cost values
in the pricing calculators.
Excel finds the exact Price which maximizes this standard profit formula:

Profit for period = Demand*Price (Revenues) - Demand*Unit Costs = Maximum value.

An easy way to understand the relationship of price - demand - profit for any product is to use
the program to drive the Price - Demand - Profit schedule and charts provided. You will see that
as prices start to rise in the chart, profits increase, reaching a maximum plateau, then decline as
demand falls away. The program calculates the maximum price point of any product curve that
produces the maximum profit

The Excel costing calculator works out unit product costs for the optimum pricing - profit
calculations.


Financial Excel All Programs Edition
Millennium Software sells its own Excel templates for Financial Analysis, Business Valuation,
Financial Accounting, Business Planning, Cash Flow, Real Estate & Loan, Budgeting
Templates.
Excel templates supply business software solutions and templates that will help you plan your
business finances, monitor cash flows, prepare budgets, analyze business statistics, track fixed
assets and investment projects and calculate return on investments with net present values and
internal rate of return.
Financial Excel All Programs Edition provides these business finance Excel workbooks.
The Finanial Excel All Programs Edition provides 150 business finance spreadsheets which will
help you manage financial assets, analyse investments, control cash flows, set up budgets and
model financial statements and forecasts quickly and effectively.
Investment-Calc 2008 spreadsheets for analysing Present values and internal rate of return of
periodic cash flows, future values of money flows, present values compounded between dates,
present values of a recurring amount, present value of periodic investments, acquisition synergy
net present values, cost of capital, terminal (to infinity) net present values.
Includes a 30 page Guide to Investment Calculations with formulas and rate of return
spreadsheets.
Plus Project investment analysis spreadsheets analysing cash flows, EBITDA, operating and
after tax profits, average annual income and ROIC, net present values & IRR.
Master Budgeting for 1-10 departments. Consolidates individual budgets year to date and
provides monthly variance analysis. 12 months departmental budgets consolidated.
The Fixed Asset Accounting workbook provides all you need to keep track of and forecast
depreciation for a maximum 3,000 assets. Use Excel 97-2003, 2007 & 2008 to work with
depreciation records, book values and disposals. It will save you many hours of work with tax
depreciation and deferred tax balances.
Lease Accounting aggregates repayment and interest balances for up to 3,000 capital leases.
Models variations in lease repayment terms anytime during a lease payment.
Excel Costing templates provides standard costing models. Now includes Profit Margin risk
analysis by simulating probable profit outcomes when different cost variances are consolidated.
Financial ratio analysis. Balance sheet, income statement and cash flow analysis calculates 50
key ratios, including operating ratios, shareholder returns, working capital, debt, sales days,
inventory turnover, and liquidity.
FastPlan 9.16 for five year financial plans. Develop your 5 year financial forecast and transfom
these into simulated balance sheets, income forecasts and cash flows.
Cash Flow & Liquidity Forecasting 2008.xls creates a cash flow forecast to 150 days horizon
from Excel list of accounts payable and receivable with forecast banking dates.
If you need to calculate your cash burn each day for 150 days ahead use the extra CASH BURN
forecasting spreadsheet provided within this zip file.
BONUS EXCEL SKILLS PACK included.


Savings & Investment Planner
Savings & Investment Planner provides the perfect financial assistance if you want to seriously
improve your personal finances.
Savings template. Personal expenses spreadsheet to enter all your expenses as they occur. Use +
values for really essential expense items and – values for non essential expenses. Excel works
out the exact amounts of essential/non essential expenses, monthly savings if you eliminate all
non essential costs and the percentage spent on non essentials.
Check Savings, Credit card and Bank accounts. Excel is an absolutely perfect tool for being able
to check account balances and for retracing calculations carried out by your bank or lender.
Templates make this process really easy for you as well as verifying the interest credits or
charges on your savings and card accounts.
Credit card account templates. Track your credit card interest and protection insurance charges
using this spreadsheet which calculates the real annual interest rate charged . Any previous late
payment or overdue balance can shift your interest rate into the stratosphere. Keep a close watch
on your credit card rates with these spreadsheets.
Savings account template. Track your savings interest rate using this spreadsheet which
calculates the real annual interest rate credited to your account. Find a higher savings rate and
keep checking. Similarly keep a close watch on your savings account interest rate because they
can be changed without notice.
Bank account template. Track your bank charges and interest using this spreadsheet which
correct your daily balances when over zealous bank charges deplete your account balances.
Accelerate your mortgage repayments. Use this spreadsheet to calculate how much your net
worth increases by applying your monthly savings to faster repayment of your mortgage loan
and reducing the financing charges.
The Guidance edition leads by example. By reallocating income into accelerated repayment of a
25 year fixed rate (5.95% p.a.) $255,000 mortgage will yield savings of $100,259.
You can test whether investing in a Mutual fund increases your net worth more than paying
down your mortgage.

The Managed Investment Funds spreadsheets calculate returns from alternative investment
opportunities covering a ten year investment period for up to four different investment plans.


Sales Leads in Excel
Sales Leads in Excel supplies sales contacts and addresses sorted in to 51 States.

Users can sort sales leads using any combination of values: SIC code* (six digit codes), annual
sales values (sort “greater than” values) , City (Text filter), State, Zip code (numbers filter),
and/or Numbers of employees. * A quick SIC look up Excel form enables users to pinpoint the
exact SIC business sector they want to filter contact names, addresses, telephone numbers etc.
Excel makes it really easy to sort records using SIC numbers as the basis.
Address fields include first and last contact names, job titles, company names, street address,
city, county, state, zip code. Telphone numbers are included.

Users can attach sorted contact names, addresses and zip codes in Excel 2007 to a Word 2007
Mail Merge file. The Sort dialog in Word Mail Merge can be used to filter and select address
lists at one or more levels to provide just the right sales targets.

If your firm operates outside the USA you can filter business address information to supply
addresses of importers, distributors and sales agents in any one of the 51 States.

Please note that despite the advisory below you WILL NOT be able to download the Sales Leads
2008 files immediately after ordering. Fifty one files are just too large to download, the largest
(California.xlsx) is 650 MB and several others are nearly as large. The download file provides an
introductory tour ONLY plus guidance notes how to prepare a sales leads list to link to Word
2007 Mail Merge. We will ship the Sales Leads 2008 CD to you as soon as we receive your
order confirmation. You do not need to select CD shipping in the order form. Free shipping is
included.


Quick Five Year Financial Plans Plus Ratios
Quick Five Year Financial Plans Plus Ratios
FastPlan provides a complete five year financial plan using Microsoft Excel to create balance
sheets, income statements and cash flow forecasts.

With FastPlan you can forecast your investment finances, fixed asset purchases, revenues,
expenses, balance sheets and cash flows month by month for five years.

Incorporating accounts receivable and payables and inventory and FastPlan produces a complete
five year schedule of balance sheets. Monthly depreciation and loan interest and repayment
schedules can easily be incorporated into the five year plan.

Outputs include a Management summary covering the five year period containing all the ratios
and multiples.

No previous accounting experience is necessary. A tutorial editon in the zip file shows you what
goes where.

Users can input five year forecasts outputs into the Company Valuation spreadsheet to value a
business using Sales multiples, EBIT multiples and price earnings multiples.

Multiple ratio valuation benchmarks are provided so that the user can obtain a current value for a
business purchase or sale.

FILE CONVERSION. Convert Excel, Word files to pdf documents without any requirement for
Acrobat using our web software add https:// web inks for safe secure document transmissions.
Convert PowerPoint 2003-2007 to Flash.

Zip file download or select CD edition shipping.
Quick 3 Year Plan
This Quick 3 Year Plan collection of financial plan workbooks provides 50 business finance
spreadsheets plus 9 Excel Add-ins and full Excel Training Course to help you create your
forecasts quickly and easily. The following is a partial summary:

Three year cash flow plan helps you combine monthly forecasts quickly easily and convert into
cash flows

Forecasting calculations are so easy with Excel. Excel links spreadsheets together so that you can
filter and sort records just anyway you want.

If you need to calculate your cash burn each day for 150 days ahead use the cash forecasting
spreadsheet.

If you need to look further ahead use the Cash Flow accounting spreadsheets which make it
really quick and simple to prepare a detailed monthly budget plan and forecast how your balance
sheets and cash flows will look for 5 years x 12 monthly periods ahead.

You can value your company based on your budget forecasts using the valuation spreadsheet.


QuickValue PRO 2009
Use QuickValue to calculate the worth of any company with Excel.

QuickValue PRO 5.0 provides all company valuation spreadsheets. Quick Value helps you
create valuations quickly and easily. The following is a partial summary:

The current fast pace of business acquisitions is driven by buyers who are able to see more value
within a business than conventional analysts and professional valuation experts can see using old
fashioned rules and standard calculations. There is usually More Value to be obtained from a
business than can be determines from using conventional rules. QuickValue shows you how to
prepare a conventional valuation using ready made templates and then incorporate Terminal
Values..

To create a quick value in QuickValue 5.0, start by preparing a conventional twelve month profit
and loss forecast using the P-L Template. QuickValue 5.0 automatically generates a 10 year
forecast from this current year scenario applying growth rate extrapolation percentages you
supply.

Use the extrapolation spreadsheet to prepare the base earnings scenario for a 10 year business
plan valuation. Hide unwanted rows.

Valuation calculations use a selected choice of multiples.

In the second “Company Valuation” workbook you can prepare a quick value of your company
based on five year results or forecasts and apply sales multiples, EBIT or Price Earnings values.
You can then incorporate the Terminal Value beyond the forecast horizon period to create the
additional net worth.
In addition to P/L valuation basis, you can adjust a business valuation using balance sheet
figures. You can select which basis of valuation you want to apply and the table automatically
adjusts the Total Value.


Monte Carlo Financial Modeling 2008
Easy & Quick Monte Carlo Risk Analysis and Modeling Spreadsheets will help you model
financial outcomes quickly and effectively.

The Sales & Profit Forecasting modeler will accurately predict your company sales and profits
by combining up to 15 different product or profit center estimates of incoming sales leads, costs
per lead, leads conversion rates, price yields, gross profit margins, G&A recovery rates and their
upper and lower limits. Forecasts probabilities achieving any sales or profit targets using Monte
Carlo simulations.

The Monthly Sales Model provides confidence level of reaching any 12 month sales goal using
Monte Carlo sales forecasting simulations.

The Capital Project Model analyses the probability that investment capital will be justified by
returning the target ROIC value set by the user when up to 15 variables are combined.
Investment simulations apply Monte Carlo calculations. This Sim simply works out whether a
target ROIC value will be reached or not. InvestmentSIm listed below analyses an entire 10 year
investment period and calculates the most probable levels of IRR, ROIC and NPV.

Investment-Calc will model any investment project, combining all years 1-10 variables to predict
the most probable values for IRR, ROIC and Net Present Values.

The Gross Profit Margin Model (2 workbooks collection) combines up to 15 variables and
product mixes applying Monte Carlo analysis.

All six workbooks will run in Excel 2003 – 2007.


Bank & Loan Refund Software
If you think you have been overcharged for a loan, mortgage, bank account through incorrect
repayment amounts or wrong interest rate, unauthorised loan insurance charges, or incorrect
penalty charges this dual software package is for you.

When you purchase the Bank & Loan Account Refund package, you are acquiring 2 programs
that will help you challenge lenders calculations, debits from your accounts and possible asset
seizures.

The two programs are CheckMyBank 2008 (Excel workbook) and Loan Amortization Manager
(web software).
With CheckMy Bank you can quickly verfiy all the calculations which lead to your monthly
interest charges. Compare the real ending balance totals with your actual balances and challenge
your account deductions if this is justified.
Loan Amortization Manager will store up to 100 current loan account repayment statements for
you. You can change any rate or payment within any loan account during its repayment period
and check that the current loan balance is correct.
Lease/Loan Accounts Organizer 2010
Lease/Loan Accounting Organizer for Excel enables you to manage, track and consolidate all
your lease accounts with Excel.

Reports each account monthly repayment, principal and interest repaid, balances outstanding to
the current month end.

Reports annual principal and interest payments each year for the life of the asset.

Consolidates monthly and cumulative balances.


INVESTMENT-CALC PRO for IRR & NPV
Solutions
                                  INVESTMENT-CALC PRO for IRR & NPV Solutions
                                  This complete collection of Investment Return workbooks now
                                  comes with free document and spreadsheet connectivity as well.
                                  Spreadsheet connectivity will help you share spreadsheets more
                                  effectively.
                                  Includes a 30 page Guide fully explaining all the calculations
                                  and equations required for time based value of investing.
                                  Includes Quick IRR - NPV spreadsheets and Future Values.
                                  Investment Appraisal simulations. This spreadsheet will run
                                  3,000 forecasts combining up to 80 variables of any investment
                                  project to predict the most probable 10 year pre-tax profits, cash
flows, NPV, IRR and ROIC.
The library of investment analysis spreadsheets incorporate present value beyond the cash flow
forecasting horizon. With our quick and easy to use spreadsheets terminal values are
automatically added to project net worth and included in the real return on capital values.
Quick calculation of your firms cost of capital using beta risk look up values from the database
included within the workbook. Your firms or your project cost of capital is the real discount rate
to apply to all net present value spreadsheets.
Synergy Value schedule calculates the economic and net present value of the financial benefits
of an acquisition or merger.

Insurance buy out schedules value any bond to its terminal value.

This workbook includes lots of Present values calculators, and internal rate of returns of
investment project cash flows, future values of money flows, present values compounded
between dates, present values of a recurring amount, and present value of periodic investments.

Quick NPV and IRR spreadsheets provide present values and IRR of any project for up to 40
years

Plus rate of return of investment portfolios with any buy/sell patterns.

New Excel Finance Spreadsheets for Investment Cash Flow Forecasting – NPV & IRR
Investment-Calc Solutions for IRR & NPV
This complete collection of Investment Cash Flow workbooks for NPV & IRR Solutions
includes:

30 page Guide fully explaining all the calculations and equations required for time based value
of investing. Includes Quick IRR –NPV spreadsheets and Future Values.

Investment Appraisal simulations. This spreadsheet will run 3,000 forecasts combining up to 80
variables of any investment project to predict the most probable 10 year pre-tax profits, cash
flows, NPV, IRR and ROIC.

The library of investment analysis spreadsheets incorporate present value beyond the cash flow
forecasting horizon. With our quick and easy to use spreadsheets terminal values are
automatically added to project net worth and included in the real return on capital values.

Quick calculation of your firms cost of capital using beta risk look up values from the database
included within the workbook. Your firms or your project cost of capital is the real discount rate
to apply to all net present value spreadsheets.

Project cash flows rate of return targeting using Excel Goal Seek. Adjust any individual
income/cost/sale/recovery forecast and drive your project to the desired rate of return.

Synergy Value schedule calculates the economic and net present value an acquisition or merger.

Insurance buy out schedules value any bond to its terminal value.

This workbook includes lots of Present values calculators, and internal rate of returns of
investment project cash flows, future values of money flows, present values compounded
between dates, present values of a recurring amount, and present value of periodic investments.

Quick NPV and IRR spreadsheets provide present values and IRR of any project for up to 40
years.


Inventory Manager PRO For Excel
Inventory Manager provides manufacturing and operations decision support for inventory
management and scheduling with Excel. Maximum 10,000 inventory items capacity.

Determine the best inventory re-order schedules (includes safety stocks), optimize the lowest
cost re-order quantities, establish ordering frequencies and lot sizes, receive alerts when you
need to re-order, includes seasonality, trends and forecasting, quality control inventory analysis.
Improve efficiencies and enhance customer service with INVENTORY MANAGER PRO.

FAQ’s

You can establish which inventory items should be re-ordered on a daily basis with
INVENTORY MANAGER.
You can establish least cost ordering quantities with INVENTORY MANAGER taking account
of storage costs, administration of purchasing costs and the cost of finance.

You can create Excel lists of inventories in categories and storage locations.

You can export inventory lists from QuickBooks (and Quattro Pro and barcode readers which
interface with Microsoft Excel) to create your own inventory management control system which
will include supplier delivery lead time, re-order quantities, safety levels.

When you want to evaluate buying inventory in larger quantities to gain volume discounts, use
INVENTORY MANAGER to determine the inventory level s for each product item that will
deliver profit gains after storage costs are taken into account.

Analyze quality control data of incoming stock with INVENTORY MANAGER Statistic
spreadsheets.

Generate re-order schedules for all stock items.


Cash Forecasting With Excel
Cash Forecasting and management spreadsheets provide:

1. Cash Forecasting – 150 days spreadsheet, auto updating forecasts daily.

2. Cash Solvency Predictive Ratios

3. Cash Management spreadsheets

Cash forecasting spreadsheet provides a quick and easy way to transfer payable, receivable and
fixed obligations into Excel, set aging days and Excel places each item into the exact day of
settlement to forecast rolling cumulative cash flows.
Invaluable as cash forecasting spreadsheets.

Cash Solvency Prediction Spreadsheet. Need to know if your suppliers, customers, applicants for
credit are financially strong or weak, use this workbook to analyze their strengths with built in
Altman and Ohlsen formulae.

Cash Management. Manage payable, receivable accounts, invoice and settlement dates to
calculate your forward working capital requirements.


Business Solvency & Financial Ratios 2008
Is the clock ticking for any of your major customers or suppliers? You can run quick and easy
checks on the solvency of companies you rely on to deliver services to you and to buy from you
using this Excel Solvency workbook.

Business Solvency:
Our Business Solvency workbook employs all the multivariate analysis equations published by
Edward Altman. Altman is the Max L. Heine Professor of Finance at the Stern School of
Business, New York University.

In the workbook supplied you can simply enter two comparative sets of financial data for any
company (including your own). The Altman Z scores are readily computed using the
multivariate formulas provided by Professor Altman.

Bonus Addition.

Financial Ratios with Excel

Windex 2008 calculates all major financial ratios in Excel.

Calculates these financial ratios 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
FILE CONVERSION. Convert Excel, Word files to pdf documents without any requirement for
Acrobat using our web software add https:// web inks for safe secure document transmissions.
Convert PowerPoint 2003-2007 to Flash presentations.

Zip file download or select CD edition shipping.


Instant Balance Sheets Excel Templates
12 MONTHS INSTANT BALANCE SHEETS WITH
EXCEL
Instant Balance Sheets provides 12 month revenue and expense forecasts spreadsheet, linked to
working capital forecasts, fixed asset purchases with monthly depreciation. Creates monthly
balance sheets and cash flow forecasts from your plans.

Ideal for when you want to turn your monthly profit and loss forecasts or last 12 months data
into monthly and year end balance sheets and cash flows.

Start by entering monthly inputs of Unit Volumes/Prices/Cost of Sales and Company Expenses
(100 rows). There are quick and easy working capital and fixed capital forecast spreadsheets
provided.

All monthly balance sheets “balance” by transferring changes occurring between successive
monthly periods into the monthly cash flow spreadsheet. The cash flow schedule tracks changes
for all twelve monthly balance sheets and calculates the balancing cash position at the end of
each month.

If you want to transform 12 month financials (historical or forecast) into neat income schedules
and balance sheets to display to management, investors, lenders, banks, use Instant Balance
Sheets for really quick results.

Provides a forward looking planning suite which accepts monthly unit volume forecasts,
different product prices and cost of sales for the 12 month period and a monthly company
expenses forecast. You can predict sales days outstanding, inventory levels and percentage of
sales supporting receivables.

Provides a demo version which shows you how everything fits together.
Budgeting & Item Costing Spreadsheets for
Excel
TWO FOR ONE EXCEL BUDGETING WORKBOOKS:
THE FIRST:

Consolidated Departmental Expense Budgeting.

Ten monthly department/divisional expense budget spreadsheets linked to a new revenue/cost of
sales forecast combines all expenses and revenues into an overall budget for 2011. Revenue and
cost of sales spreadsheet expanded to 100 rows each. Expenses spreadsheets also expanded to
100 rows.

Consolidated Profit Center Budgets xls & xlsx.

Ten monthly revenues/cost of sales/department/divisional expense budget spreadsheets combines
all divisional revenues, cost of sales and expenses into an overall budget for 2011. Revenue and
cost of sales spreadsheet expanded to 100 rows each. Expenses spreadsheets also expanded to
100 rows for each profit center.

THE SECOND:

THE SECOND: ITEM BY ITEM COSTING 1500

Item by Item Costing 1500. Every purchase is captured and logged into Excel. Assign each
purchase to a category, a product type, a location and a budget (all four codes each item). Excel
analyzes costs against preset budgets for your 1,500 key items and reports overspending in any
category, location and budget. Calculates current unit costs, average costs, cost histories total
expenditures and percentage costs to total costs and sales for each category, location, budget and
supplier spend to date. Use a simple bar code reader and import item codes directly into Excel or
make up your own codes. Instant over spending alerts for up to 1,500 purchase items in real
time.

The second workbook is delivered to you by email after purchase. if you have a Gmail or Yahoo
account please check your spam folders for the download link.
Google Spreadsheets Excel Templates
Collection
Google Spreadsheets Excel Templates Collection: 25 Excel files in total - 23 upload and run in
Google Docs Spreadsheets, plus 2 Cash Flow Forecasting with file sizes that are greater then the
Google Docs limit which enables larger data volumes.
GoogleDocsCalendar
GoogleDocsEnquiriesTracking
GoogleDocsDailyDollarResults
GoogleDocsOrdersForecasts
GoogleDocsForecasting
GoogleDocsReceivableCash Forecast (Part 1)
GoogleDocsPayableCashForecast (Part 2)
GoogleDocsCashFlowForecast
GoogleDocsEBITValuation
GoogleDocsCommRealEstate
GoogleDocs12MonthsCostCenterBudgets
GoogleDocs12MonthsPLBudget
GoogleDocsCostingSpreadsheets
GoogleDocsQuickCalcNPV-IRRCashFlows
GoogleDocsNewProjectAnalysis
GoogleDocsPortfolioCalc
GoogleDocsROR
GoogleDocsRatios
GoogleDocsCostSavingProjects
GoogleDocsAcqustionsIRR
GoogleDocsMAForecasting
GoogleDocsPromoPricingTables
GoogleDocsSolvencyTest


Bank & Loan Refund Software
If you think you have been overcharged for a loan, mortgage, bank account through incorrect
repayment amounts or wrong interest rate, unauthorised loan insurance charges, or incorrect
penalty charges this dual software package is for you.

With the Bank & Loan Account Refund package you are acquiring 2 programs that will help you
challenge lenders calculations, debits from your accounts and possible asset seizures.

The two programs are CheckMyBank 2008 (Excel workbook) and Loan Amortization Manager
(web software).

With CheckMy Bank you can quickly verfiy all the calculations which lead to your monthly
interest charges. Compare the real ending balance totals with your actual balances and challenge
your account deductions if this is justified.

Loan Amortization Manager will store up to 100 current loan account repayment statements for
you. You can change any rate or payment within any loan account during its repayment period
and check that the current loan balance is correct.


Five Keys To Business Success (Excel Add-
Ins)
Five Excel Add-Ins For Business

Five Excel Add-Ins For Business.

Excel add-ins provide ready made solution for forecasting, investment economics, portfolio
optimization, business resource optimization and material planning.

Forecasting.xla. Calculates moving averages, exponential smoothing moving averaging, linear
regression and seasonal trend analysis.

Investment Economics.xla. Calculates net present values and internal rate of return after tax for
any capital investment projects. Selects projects that in aggregate meet users objectives.

Portfolio Optimization.xla. Optimises any investment portfolio to meet users objectives. Both
business investments and securities investments are catered for.

Process.xla. Creates computer models to mirror business flows. Calculates the optimized
scheduling of materials and resources which maximise profits. Use Process Flow to work with
your line managers on each business step for scheduling the the highest optimization of scarce
resources.

MRP.xla. Creates dynamic materials requirement planning (MRP) spreadsheets which optimizes
the least cost solution for users' manufacturing requirements. Including material purchasing,
defines minimum inventory levels, least cost production scheduling.

Free Giveaway. Business Statistics for Excel. Instant calculation of Averages, Moving Averages,
Mean, Median, Mode, Range, Frequency, Seasonality Trends, Correlation, Variance, Regression
formula, Significance (T-Test), Sigma and Six Sigma values, Least Squares, Best Fit
Forecasting.
Supression of unwanted zeros in data range, set upper and lower boundaries for calculations.

Download the entire Collection plus instructional templates in one zip file.


Asset & Expenses Register For Excel
Asset Register is a quick and handy Excel workbook place to store asset purchase costs, supplier
information, addresses and contact addresses, asset serial numbers, bar code IDs, depreciation
rules, depreciation lives, department location and manager responsible. Monthly and cumulative
depreciation plus book value for each asset, total asset class, department location and by
manager responsible are all provided.

Option to switch the current month end backwards or forwards to calculate depreciation at a
year-end or alternative period end.
Users can change class standard lives with different depreciation periods and can look up the
current balance and age of any asset using bar codes or ID number.

The Asset Register includes salvage percentages.


Financial Statement Forecasting PRO
When you need a quick snap way to create your financial statement forecasts for your se nior
managers, bank manager or investors, use Financial Statement Forecasting PRO.

Financial Statement Forecasting PRO enables you to set up a 12 month forecast of your financial
statements starting at any month of your choice. As well as calculating monthly balance sheets,
income statements and cash flows (source and application of funds) the workbook outputs all
key operating, financial and shareholder ratios and financing covenant ratios.

Plus the FinExcelSoft 10 year financial statement forecasting workbook.

Quick and simple to use. No accounting knowledge is required.


Financial Ratio Calc with Excel
Financial Ratio Calc with Excel

Windex 2010 calculates all major financial ratios in Excel from your balance sheet and income
statements.

      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.


Excel Add-ins & Training Bible Complete
Collection
Combined Excel Add-ins and Excel Training Bible package


Nine Excel add-ins plus the Complete Excel Training Bible modules 101-701.

Plus Free Workbook Bonus - Learn how to develop your own Excel Currency Converter with
this extra free workbook.

Convert any of your financial records or lists into any one of 81 cross currency exchange rates
updated via the Excel import function – In today’s environment of volatile exchange rates,
instant recalculation into your home currency from different currencies is an essential tool.

Free workbook with the Combined Collection.


FASTPLAN Version 9.6
FastPlan version 9.6 provides a complete five year financial plan incorporating monthly fixed
asset schedules with depreciation spreadsheets, 60 x monthly sales forecasts for multi products,
forecast expenses, share capital inputs, three loan notes providing monthly interest charges and
declining loan balances, plus working capital forecasts to generate five annual and mont hly
balance sheets, income statements and cash flow forecasts with supporting financial ratios and
five years financial summary overview. With FastPlan you can quickly and easily change any
variable input and drive the financial statements and cash flows to your target goals. No
accounting knowledge is required.

Plus three separate and additional workbooks.
Twelve months income statements, balance sheets and cash flows forecasting spreadsheet to
develop high - low forecast scenarios to analyse your sales, profits, accounts receivable, accounts
payable and total cash flows for each year for all possible outcomes.
Sales and Profits Risk Forecasting using Monte Carlo formulas.
Forecasting Risk analysis (probability of reaching goals) using Monte Carlo formulas.
FastPlan and the three additional bonus workbooks all run in Excel 2003-2007.


FastPlan 2010 Five Year Company
Forecasting
FastPlan version 9.6 provides a complete five year financial plan incorporating monthly fixed
asset schedules with depreciation spreadsheets, 60 x monthly sales forecasts for multi products,
forecast expenses, share capital inputs, three loan notes providing monthly interest charges and
declining loan balances, plus working capital forecasts to generate five annual and monthly
balance sheets, income statements and cash flow forecasts plus all core ratios and five years
financial summary overview.

With FastPlan you can quickly and easily change any variable input and drive the financial
statements and cash flows to your target goals.

No accounting knowledge is required.

Plus three separate and additional workbooks.
Twelve months income statements, balance sheets and cash flows forecasting spreadsheet to
develop high - low forecast scenarios to analyse your sales, profits, accounts receivable, accounts
payable and total cash flows for each year for all possible outcomes.
Sales and Profits Risk Forecasting using Monte Carlo formulas.
Forecasting Risk analysis (probability of reaching goals) using Monte Carlo formulas.
FastPlan and the three additional bonus workbooks all run in Excel 2003-2007.


Excel Skills Pack
COMPLETE MICROSOFT EXCEL CORE
KNOWLEDGE PACK

Core fundamentals 1. Keyboard functions, Cut, Copy, Insert, Delete, Paste Special, Custom
Formatting, Undo, Redo, Excel Formulas - The least you should know, Useful functions and
Paste Function, Calc, Comments, Drawing toolbar, Edit Replace, Delete Clear, Essential
Printing, Data Sorting, Hiding, AutoFormats, Protection, Basic Charts, Basic Formatting, If
Function.

Core fundamentals 2. Improved working with Formulas, Worksheet Formulas, Extracting Data
for Decision Making, Data Validation, Importing external data. Core fundamentals of Advanced
Filters, AutoFilters, Names Charts, Under Utilized Features, Protection, Shared Workbooks,
Track Changes, Merging Shared Workbooks, Custom Views, Report Manager, Hyperlinks,
Outlining.

Core fundamentals 3. Learn Advanced Formulas, Advanced Filters, Text To Columns, Importing
Text Files, Pivot Tables 1, Pivot Tables 2, Pivot Tables 3, Scenarios, Goal Seek, Data Tables and
Consolidation, Excel on the Web, Macros 1, Macros 2.
Plus Core Knowledge chapters 4, 5, 6 and 7 VBA and Macro developments.

Special Bonus: Excel Add-Ins improve your spreadsheets presentations and reduce your
spreadsheet working hours.
Duplication Manager
Formula Manager
Number Manager
Text Manager
Excel Plus
Named Range Manager
Formula Reference Changer
Sheet Index Creator
File Size Reducer Download or CD shipping.


Excel Costing 2010 & Expense Controls 2011
TWO PROGRAMS FOR THE PRICE OF ONE.

THE FIRST: Excel Costing 2010.

The 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 in 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.

A – Z spreadsheets for Marginal costing - Standard costing – Activity based costing – Cost
drivers – Absorption Costing values and Most economic quantity.

Formula and equations each step of the way.

Incorporate risk analysis of reaching your gross profit margin goals when customer spending
patterns change and these changes impact your unit costs. Runs Monte Carlo simulations of the
most probable outcomes and returns the probability of achieving whatever target is set.

THE SECOND: ITEM BY ITEM COSTING 1500

Item by Item Costing 1500. Every purchase is captured and logged into Excel. Assign each
purchase to a category, a product type, a location and a budget (all four codes each item). Excel
analyzes costs against preset budgets for your 1,500 key items and reports overspending in any
category, location and budget. Calculates current unit costs, average costs, cost histories total
expenditures and percentage costs to total costs and sales for each category, location, budget and
supplier spend to date. Use a simple bar code reader and import item codes directly into Excel or
make up your own codes. Instant over spending alerts for up to 1,500 purchase items in real
time.


Consolidated Budgeting and Item Cost
Budgets
Excel Budgeting & Financial Forecasting

TWO FOR ONE EXCEL BUDGETING WORKBOOKS:
THE FIRST:

Consolidated Departmental Expense Budgeting.

Ten monthly department/divisional expense budget spreadsheets linked to a new revenue/cost of
sales forecast combines all expenses and revenues into an overall budget for 2011. Revenue and
cost of sales spreadsheet expanded to 100 rows each. Expenses spreadsheets also expanded to
100 rows.

Consolidated Profit Center Budgets xls & xlsx.

Ten monthly revenues/cost of sales/department/divisional expense budget spreadsheets combines
all divisional revenues, cost of sales and expenses into an overall budget for 2011. Revenue and
cost of sales spreadsheet expanded to 100 rows each. Expenses spreadsheets also expanded to
100 rows for each profit center.

THE SECOND:

THE SECOND: ITEM BY ITEM COSTING 1500

Item by Item Costing 1500. Every purchase is captured and logged into Excel. Assign each
purchase to a category, a product type, a location and a budget (all four codes each item). Excel
analyzes costs against preset budgets for your 1,500 key items and reports overspending in any
category, location and budget. Calculates current unit costs, average costs, cost histories total
expenditures and percentage costs to total costs and sales for each category, location, budget and
supplier spend to date. Use a simple bar code reader and import item codes directly into Excel or
make up your own codes. Instant over spending alerts for up to 1,500 purchase items in real
time.


Excel Add-Ins File Collection
With this powerful Excel Add-Ins File Collection for Microsoft Excel you enhance your Excel
with extra capabilities that are well beyond standard Microsoft Excel features:
     Add page indexes to link all spreadsheets together.
     Add Reminder notes. Like those little yellow pads, bring reminders messages into your
       Excel at preset times and dates.
     Add formulas list with links to each formula cell.
     Manage cell ranges with more options than provided by Microsoft.
      Convert imported numbers to true Excel formats.
      Hide zeros, Hide text, hide numbers, hide negatives, hide positives with one click.
      Create one year Excel 365 days calendars.
      Manage List duplicates, number formats and equations much more efficiently and make
       Excel work faster for you.
      Convert vertical number sequences into horizontal rows with one click.
      Copy data to a different part of your spreadsheets keeping the orginal cell references. the
       same
      File size reduction to save disk space.

FILE CONVERSION. Convert Excel, Word files to pdf documents without any requirement for
Acrobat using our web software add https:// web inks for safe secure document transmissions.
Convert PowerPoint 2003-2007 to Flash. Zip file download or select CD edition shipping.


Excel Scheduler
Project Management, Gantt Charting, and Employee Scheduling - For all versions of Microsoft
Excel. To run Excel Scheduler, simply run Excel and read in template(s) of choice.

Project Management:

      CPMDAILY.XLS
      CPMHOUR.XLS
      CPMWEEK.XLS

Gantt Charting

      GANTDAY.XLS
      GANTHOUR.XLS
      GANTWEEK.XLS

Employee Scheduling

      DAYSOFF.XLS


Operations Manager
Operations Manager contains 35 templates for manufacturing
and operations decision support. All templates have a simple,
consistent interface and include an actual application. Runs
with Excel, Lotus & Quattro Pro.
Benefits include:
     adjust for seasonality and predict trends,
     optimize economic order quantity,
     determine best inventory (includes reorder points &
        safety stocks) and workforce levels,
     improve production throughput and enhance customer
        service.
Resource Manager for Excel/FULL
Resource Manager for Excel/FULL contains the functionality of high-end systems, without the
complexity and expense. An add-on for existing systems, or stand-alone, Resource Manager
adapts to your specific needs.

Key features include:
    Easily integrates with all systems
    General purpose resource management tool for projects that contain any combination of
       people, materials, and equipment
    Dynamic finite capacity analysis
    A great stand alone scheduler
    Priority Scheduling
    Costing & estimating
    True Windows GUI
    Inventory Management & MRP
    Excel Integration
    Planning
    Rough-cut capacity planning
    Bills-Of-Material/Resources containing material, workcenters, & labor requirements.


Spreadsheet QC
Spreadsheet QC is a collection of templates for use with Excel, Lotus & Quattro Pro. It is ideally
suited for small operations which are just beginning to implement quality improvement
programs, as well as for large operations, to complement existing Total Quality Management
systems, for flexible, ad- hoc reporting and individual training. By automating the main
techniques in a familiar spreadsheet format, Spreadsheet QC makes statistical process and
quality control more accessible.


Spreadsheet Scheduler by User Solutions,
Inc.
                                 Low cost and easy-to-use spreadsheet templates for Project
                                 Management, Scheduling Customer Jobs and Employees,
                                 Generating Calendars and Gantt Charts.

                                The Spreadsheet Scheduler is a toolkit containing 14 ready-to-
                                use, practical models for a variety of common scheduling
                                problems. The models are spreadsheet templates that work with
                                all popular spreadsheets. The 14 spreadsheet-based programs
                                provide an easy-to- use set of tools to help any organization
                                manage projects more efficiently, improve customer deliveries,
and minimize work- in-process times.
Excel ActiveX
Excel ActiveX acts as an ActiveX document container for hosting Excel document in a custom
form or Web page. Support Excel automation client and offer abundant sample codes.

Excel ActiveX can be easily integrated into applications written in languages that support
ActiveX control such as Visual C++, Visual Basic, Delphi, C++ Builder and .Net languages.


ZRandom for Excel
ZRandom implements high quality random number generation for Microsoft Excel using the
Merssenne Twister algorithm :
Use higher quality pseudo-random numbers than the Excel RAND() and VBA Rnd() functions.
Generate random numbers from 16 discrete and continuous distributions.
ZRandom implements the following discrete distributions: Uniform, Bernoulli, Geometric,
Hypergeometric, Negative Binomial and Poisson.

ZRandom implements the following continuous distributions: Beta, Burr, Exponential, Gamma,
Lognormal, Normal, Pareto, Triangular, Uniform and Weibull.
Create large batches of random numbers using the interactive user interface.
Excel functions for use in spreadsheet formulas.
Random Sort and Random Sample
Interactive distribution wizard
A VBA interface to generate random numbers in your code.


Excel Workbook Splitter
Excel Workbook Splitter is a powerful, friendly and easy-to-use Excel tool to split multi-sheet
excel files into single sheet excel files with high speed. This excel tool changes the complicated,
duplicate and boring excel works into easy ones. Especially it's used for financ ial affairs, legal
affairs and so on. Excel Workbook Splitter supports Microsoft Excel only and Windows
2000/XP operating system.

With Excel itself, the operation requires opening each workbook, selecting entire sheet, creating
a new workbook, pasting the sheet, saving... But with Excel Workbook Splitter, you just load
any number of workbooks (or even some folders) into the program and see the list of all
worksheets from all workbooks at once.

AutoWin Homepage
Excel Workbook Splitter
Budget Forecaster & Expense Tracker Combo
               Package
                               Budget Forecaster for Excel® is a household budgeting and
                               finance management software was designed for Microsoft
                               Excel® lovers who prefer using Excel-based household
                               budgeting software to a stand-alone application to manage their
                               family finances.
                                    These users tend to enjoy the convenience of managing
                                      their household finances with the help of this VBA
                                      Excel tool without having to learn a new household
                                      finance management software application
                                    Track where your money goes See where your money
                                      goes by tracking your daily expenses by type.
                                    Get a clear picture of where your money is going by
     week or by month.
    Track your income, investments and expenses for the selected time period, and analyze
     your income allocation and expenses distribution with efficient Budget Forecaster
     software tools - all in one place.
    View colorful detailed charts & graphs.
    View colorful, detailed charts and graphs and see visually by category where your money
     goes. If you prefer to see where your expenses go in a colorful easy to read pie chart, you
     will enjoy this feature.
AKS-Labs
    6 Sigma Metrics Scorecard for Excel
    Academic Research Scorecard for Excel
    Accounting Firm Scorecard for Excel
    Active Portfolio Management Scorecard for Excel
    Activity Based Costing Scorecard for Excel
    Activity Based Management Scorecard for Excel
    Airline Ticketing and Reservation Scorecard for Excel
    Airlines Scorecard for Excel
    Airport Safety Scorecard for Excel
    Airport Scorecard for Excel
    AKS Text Replacer
    AKS-Labs | Security Tools | Business Tools and Personal Productivity |
     Search Tools | PDF Tools | Fun - Clocks
    Alternate Energy Sources Scorecard for Excel
    Aluminum Production Scorecard for Excel
    ArticleKickOff e-book
    Asset Management Firm Scorecard for Excel
    Awards Scorecard for Excel
    BackupChanges
    Balanced Scorecard - Toolkit
    Balanced Scorecard Designer
    Benchmarking Scorecard for Excel
    Biofuel Production Scorecard for Excel
    Brand Evaluation Scorecard for Excel
    Brokerage Firm Scorecard for Excel
    BSC Review Report
    Budgeting and Forecasting Scorecard for Excel
    Business Mission and Vision Scorecard for Excel
    Business Strategy Scorecard for Excel
    Cafe Scorecard for Excel
    Call Center Outsourcing Scorecard for Excel
    Capacity Management Scorecard for Excel
    Car Insurance Scorecard for Excel
    Car Manufacturing Scorecard for Excel
    Car Renting Scorecard for Excel
    Car Sales Scorecard for Excel
    CD Advertising Scorecard for Excel
    Certification Scorecard for Excel
    Change Management Scorecard for Excel
    Cinema Advertising Scorecard for Excel
   Communication Measurements Scorecard for Excel
   Compare PDF
   Compare Suite
   Comparison Chart
   Competitor Analysis Scorecard for Excel
   ComposeEssay
   Conference Scorecard for Excel
   Content Management Scorecard for Excel
   Continuous Improvement Scorecard for Excel
   Cost Management Scorecard for Excel
   Credit Card Processing Scorecard for Excel
   Credit Risk Scorecard for Excel
   Crew Management Scorecard for Excel
   Crisis Management Companies Scorecard for Excel
   Custom Office Scorecard for Excel
   Customer Conversion Scorecard for Excel
   Customer Loyalty Scorecard for Excel
   Customer Profiling Scorecard for Excel
   Customer Profitability Scorecard for Excel
   Customer Relationship Scorecard for Excel
   Customer Value Scorecard for Excel
   Data Entry and Document Imaging Scorecard
   Data Integrity Scorecard for Excel
   Data Leakage Scorecard for Excel
   Data Loss Scorecard for Excel
   Data Records Management Scorecard for Excel
   Dental Practice Scorecard for Excel
   Development Scorecards
   Direct Mail Scorecard for Excel
   Disk Search Assistant
   Education Scorecard for Excel
   Electricity Delivery Scorecard for Excel
   Electricity Production Scorecard for Excel
   Elegant Clock
   Employees Management and Improvement Scorecards
   Excel Call Center Balanced Scorecard
   Exhibitions Scorecard for Excel
   Facility Management Scorecard for Excel
   Fighters Clock
   File Search Assistant
   Finance and Accounting Management Scorecards
   Financial Benchmarking Scorecard for Excel
   Financial Crisis Scorecard for Excel
   Financial Insurance Company Scorecard for Excel
   Financial Outsourcing Scorecard for Excel
   Financial Risks Scorecard for Excel
   Financial Securities Scorecard for Excel
   Financial Statement Analysis Scorecard for Excel
   Firefighter Service Scorecard for Excel
   Functional Software Testing Scorecard for Excel
   Gas Production Scorecard for Excel
   Gas Station Scorecard for Excel
   Global Warming Scorecard for Excel
   Government Crisis Management Scorecard for Excel
   Greenhouse Gas Reduction Scorecard for Excel
   Health care facilities Scorecard for Excel
   Health Insurance Scorecard for Excel
   Help Desk Balanced Scorecard Metrics for Excel
   Hotel Management Scorecard for Excel
   HR accounting Scorecard for Excel
   HR Balanced Scorecard for Excel
   HR Hire Balanced Scorecard Metrics for Excel
   HR Outsourcing Scorecard for Excel
   Hypermarket Scorecard for Excel
   Identity Theft Risks Scorecard for Excel
   Innovations Scorecard for Excel
   Insurance Claims Scorecard for Excel
   Insurance Sales Scorecard for Excel
   Intellectual Capital Development Scorecard for Exc
   Intellectual Capital Scorecard for Excel
   Intellectual Property Scorecard for Excel
   Interactive Voice Response Scorecard for Excel
   Intrusion Prevention Scorecard for Excel
   Inventory and Warehousing Scorecard for Excel
   Investment Banking Scorecard for Excel
   IT Security Scorecard for Excel
   Just in time Scorecard for Excel
   Knowledge management Scorecard for Excel
   Law Department Scorecard for Excel
   Leadership Scorecard for Excel
   Leasing Company Scorecard for Excel
   Litigation Scorecard for Excel
   Logistics Scorecard for Excel
   Manufacturing Scorecard for Excel
   Market Risk Scorecard for Excel
   Marketing and PR in Business
   Marketing Balanced Scorecard Metrics for Excel
   Marketing Research Scorecard for Excel
   MeasureProductivity
   Medical Scorecard for Excel
   Medical Supplies Scorecard for Excel
   Mergers and Acquisitions Scorecard for Excel
   Mind Pad
   Modular manufacturing Scorecard for Excel
   Mortgage Metrics Scorecard for Excel
   Motivation Scorecard for Excel
   Museum Management Scorecard for Excel
   Natural Disaster Manangement Scorecard for Excel
   Nature Clock
   Newspaper Management Scorecard for Excel
   Non-Profit Scorecard for Excel
   Office Maintenance Scorecard for Excel
   Oil Production Scorecard for Excel
   Operational Risk Balanced Scorecard
   Operations Scorecard for Excel
   Outdoor Advertising Scorecard for Excel
   Outlook Task
   Passive Investments Scorecard for Excel
   PDF Index Assistant
   PDF Manager
   PDF Search Assistant
   PDF2TXT
   Personal Finance Scorecard for Excel
   Personal Health Scorecard for Excel
   Police Services Scorecard for Excel
   Presentation Scorecard for Excel
   Press Advertising Scorecard for Excel
   Private Sector Scorecard for Excel
   Product Knowledge Management Scorecard for Excel
   Product Launch Scorecard for Excel
   Product Outsourcing Scorecard for Excel
   Productivity Scorecard for Excel
   Profit Focused Accounting Scorecard for Excel
   Programming Scorecard for Excel
   Project Management Scorecard
   Project Management Scorecard for Excel
   Property Investment Scorecard for Excel
   Public Sector Scorecard for Excel
   Quality Improvement Scorecard for Excel
   QuickWiper
   Radio Station Scorecard for Excel
   Real Estate Agency Scorecard for Excel
   Real Estate Balanced Scorecard Metrics for Excel
   RecentCleaner
   Recycling Scorecard for Excel
   Resource Management Scorecard for Excel
   Restaurant Scorecard for Excel
   Retail Banking Scorecard for Excel
   Retail Sales Scorecard for Excel
   Retirement Scorecard for Excel
   Risk Metrics Scorecard for Excel
   Sales Balanced Scorecard for Excel
   School Management Scorecard for Excel
   Security and Privacy Scorecard for Excel
   SEO Scorecard for Excel
   Service Outsourcing Scorecard for Excel
   Show Hidden Files
   Shred Agent
   Social Responsibility Scorecard for Excel
   Social Security Scorecard for Excel
   Software Design Scorecard for Excel
   Steel Making Scorecard for Excel
   Strategy2Act
   Stylish Clock
   Supply Chain Scorecard for Excel
   Tasks Outsourcing Scorecard for Excel
   Television Station Scorecard for Excel
   Time Management Scorecard for Excel
   TQM Scorecard for Excel
   Trade Show Scorecard for Excel
   Training Balanced Scorecard for Excel
   Transportation Scorecard for Excel
   Travel Agency Scorecard for Excel
   TV Advertising Scorecard for Excel
   University Scorecard for Excel
   Value Based Management Scorecard for Excel
   Vertical Business Scorecards
   Wealth Management Scorecard for Excel
   Web Advertising Scorecard for Excel
   Web Application Testing Scorecard for Excel
   Web Hosting Scorecard for Excel
   Web Investment Scorecard for Excel
   Website Design Scorecard for Excel
   Weight Loss Scorecard for Excel
   Word of Mouth Marketing Scorecard for Excel
Add-Ins Etc.
  Import Contacts Microsoft Excel Add-In
  ShortCuts Microsoft Excel Add-In

Addintools
  Addintools Assist
  Addintools Create
  Addintools | High Performance Add-ins and Tools for Microsoft Office
   2007
  Classic Menu for Access
  Classic Menu for Excel
  Classic Menu for Office
  Classic Menu for Outlook
  Classic Menu for PowerPoint
  Classic Menu for Word
  Ribbon Customizer for Office

A-PDF
  A-PDF -Affordable PDF tools: PDF Merger, Splitter, Password Security,
   Converter etc. Free download. [A-PDF.com]
  A-PDF Batch Print
  A-PDF Content Splitter
  A-PDF Deskew
  A-PDF Excel to PDF
  A-PDF HTML to PDF
  A-PDF Image Downsample
  A-PDF Image Extractor
  A-PDF Image to PDF
  A-PDF Image to PDF Free Trial
  A-PDF INFO Changer Command Line
  A-PDF Merger
  A-PDF Merger Command line
  A-PDF Office to PDF
  A-PDF Page Master
  A-PDF Password Security
  A-PDF Password Security Service
  A-PDF PPT to PDF
  A-PDF PPT2PDF
  A-PDF Restrictions Remover
  A-PDF Size Splitter
    A-PDF Size Splitter Free Trial
    A-PDF Split
    A-PDF Split Command Line
    A-PDF to Black/White
    A-PDF Watermark
    A-PDF Word to PDF

AutoWin
  AutoWin Homepage
  Excel Workbook Splitter
  Windows Automation Macro Recorder

ExcelEstimator - CPR International, Inc
    BuilderPACK Advantage for Excel
    ConcreteCost Estimator for Excel
    ConstructionWORKS Complete
    ContractorPACK Advantage for Excel
    CPR International, Inc. Home Page
    FloorCOST Estimator for Excel
    GeneralCOST Estimator for Excel
    HomeCOST Estimator for Excel
    JobCOST Controller for Excel
    PaintCOST Estimator for Excel
    RemodelCOST Estimator for Excel
    RemodelPACK Advantage for Excel
    RepairCOST Estimator for Excel
    RoofCOST Estimator for Excel

Excel Templates and Add-ins
    Asset & Lease Accounting With Excel
    Bank & Loan Refund Software
    Budgeting Spreadsheets for Excel
    Business Solvency & Financial Ratios 2008
    Cash Flow & Liquidity Forecasting 2008
    Complete Excel Templates Financial Management
    Complete Excel Templates Financial Management 2009
    CreatefunctionCallBack
    Excel Add-ins & Training Bible Complete Collection
    Excel Add-Ins File Collection
    Excel Budgeting & Financial Forecasting
    Excel Costing 2009
    Excel Skills Pack
    FastPlan 2008 Five Year Company Forecasting
    FASTPLAN Version 9.6
    FES emailer
    Financial Excel All Programs Edition
    Financial Ratios with Excel
    Financial Statement Forecasting PRO
    FinExcelSoft Amortization Excel Templates
    FinExcelSoft Annuities Excel Templates
    FinExcelSoft Correlation & Regression Templates
    FinExcelSoft FinStat Excel Templates
    FinExcelSoft Home Page
    FinExcelSoft NPV & IRR Excel templates
    FinExcelSoft Safe Office
    FinExcelSoft Securities Excel templates
    Five Keys To Business Success (Excel Add-Ins)
    Google Spreadsheets Excel Templates Collection
    Instant Balance Sheets Excel Templates
    Inventory Manager PRO For Excel
    Investment-Calc 2009 - NPV - IRR
    INVESTMENT-CALC PRO 2008 IRR & NPV Solutions
    Lease/Loan Organizer
    Loan & Bank Refund Claim Software 2008
    Millenium Software Inc Home Page
    Monte Carlo Financial Modeling 2008
    NPV & IRR Excel Template for Periodic Cash Flows
    Quick 3 Year Plan
    Quick Five Year Financial Plans Plus Ratios
    QuickValue PRO 2008
    Sales Leads 2008 for Excel 2007
    Savings & Investment Planner
    Universal Pricing Calculators

Frank Kusluski
    AppSpy
    AutoCAD Update Tool
    Awesome Web Site List and WebSpy
    Balloon OCX
    Balloon Tooltips .NET
    Best ComboBox
    Block Attribute Modifier
   CAD OCX Pro
   DirSpy
   Disk Auditor Net
   Disk Master
   DSN Now!
   DWG Miner DLL
   Excel Class .NET
   Excel OCX
   Excel Viewer OCX
   ExcelToHTML
   EZ Thumbs
   FileBox OCX
   FileSpy
   FileSpy NT
   FileSpy Pro
   Frank Kusluski Homepage
   JustIn!
   MyAcrobatServer
   MyPDFServer
   NetSpy
   OCX Suite: Excel OCX and Word OCX
   PDF ActiveX DLL
   PDF Bookmarks
   PDF Builder
   PDF Creator
   PDF Maker Class .NET
   PDF Maker DLL
   PDF OCX
   PDF Viewer .NET
   PDFViewer OCX
   ServerSpy
   Spy Suite: FileSpy, DirSpy, AppSpy and ServerSpy
   The Secrets of Creating PDF Files for FREE
   Ultra AutoCAD Tool
   Ultra PDF Tool
   Ultra-Downloader
   ViewPDF OCX
   Word OCX
   Word Viewer OCX
   XP Controls
   Xtracta
   ZipNow
Helmsman
    BloodEyeRemove
    CDuke
    CDukePro
    Comfortable PDF to HTML
    Comfortable PDF to Image
    Comfortable PDF to Text
    Cool Utils Pro
    CoolPopup
    CopyAudioCD
    DB Elephant Access Converter
    DB Elephant Interbase Converter
    DB Elephant My SQL Converter
    DB Elephant My SQL Converter Free Trial
    DB Elephant PostgreSQL Converter
    DVDuck
    ExcelExplorer
    EXIFViewer
    FolderShine
    Frigate
    Frigate3
    Frigate3-Std
    FTPCaptain
    Helmsman Homepage
    HomeFTP
    Image2Ico
    ImageBox
    iPod AudioBook
    IsEqual
    Joyce Audio Converter
    Joyce Image Converter
    JoyceCD
    LinkHunter
    Motion Hunter
    MP3 EmSee
    MS SQL Converter
    MS SQL Migrate
    MultiRenamer
    PDF Encrypter
    PDFCombine
    PDFSplitter
    Photo Printer
    PhotoCDuke
    PhotoLook
    PrintMaestro
    QuickUnplug
    SecureWallet
    SendMail
    Space Searcher
    SpreadCalc
    StartUpMan
    SyncFolder
    Tiff Paging
    TiffCombine
    TiffSplitter
    TiffTeller
    Total CAD Converter
    Total Folder Monitor
    Total HTML Converter
    Total HTML Converter Free Trial
    Total Icon Organizer
    Total Image Slicer
    Total Image Watermark
    Total Movie Converter
    Total PDF Printer
    Total Speech
    TotalAudioConverter
    TotalImageConverter
    TotalPDFConverter
    TreeNotes
    VisualRenamer

Model Advisor
    Categorizing Data for Excel
    Chart Tools for Excel
    Color Palette for Excel
    Conditional Formatting for Excel
    Consolidator Enterprise for Excel
    Exchange Rates for Excel
    FinanCalc for Excel (Full)
    FinanCalc for Excel (Standard)
    FinanCalc para Excel (Normal)
    FinanCalc para Excel (Total)
    Financial Advisor for Excel (Full)
    Financial Advisor for Excel (Standard)
    Financial Advisor para Excel (Normal)
    Financial Advisor para Excel (Total)
    Loan Advisor for Excel (Full)
    Loan Advisor for Excel (Standard)
    Loan Advisor para Excel (Normal)
    Loan Advisor para Excel (Total)
    Model Advisor Homepage
    Model Analyzer for Excel
    Model Assistant Suite
    Model Builder for Excel
    Multi Scenarios Manager for Excel
    Navigation Tools for Excel
    ProjectBoard
    Spreadsheet Auditor for Excel
    Spreadsheet Consolidator for Excel
    Spreadsheet Goal Seeker
    Spreadsheet Presenter
    Stock Quotes for Excel
    Tools for Excel Tables
    What-if Analysis Manager
    Xprss Design Subscription

OfficeConvert Software
    123 Pdf to Word Converter for Doc
    123 Word to Pdf Converter
    Advanced Pdf to Word Converter
    Advanced Web2Jpg
    Advanced Web2Pic
    Advanced WebCam
    Advanced Website to image jpg bmp Converter
    Advanced Word to Pdf Converter
    All Office Converter Platinum
    Easy HTML Snapshot
    Easy Website Snapshot
    EZ Pdf to Word Converter for Doc
    EZ Word to Pdf Converter
    Image Convert Jpg Jpeg Bmp Tiff Gif Png
    office Convert All to Image Jpg Jpeg
    office Convert Doc Xls Txt To Pdf
    office Convert Document To Image
    office Convert Document To Pdf
    office Convert Excel to Image Jpg/Jpeg
    office Convert Excel to Pdf
    office Convert Htm/Html to Image Jpg/Jpeg
    office Convert Image TIFF Jpeg to Pdf
    office Convert Pdf to Doc Text Rtf
    office Convert Pdf to Document
    office Convert Pdf to Excel for xls
    office Convert Pdf to Image
    office Convert Pdf to Jpg Jpeg Tiff
    office Convert Pdf to Website for Htm Html
    office Convert Pdf to Word for Doc
    office Convert PowerPoint to Image Jpg/Jpeg
    office Convert PowerPoint to Pdf
    office Convert Text Rtf to Pdf
    office Convert Tiff To Pdf
    office Convert Word Excel PowerPoint to Pdf
    office Convert Word Excel PowerPoint To Text
    office Convert Word Excel to Htm Html Converter
    office Convert Word to Pdf
    office Convert Word Txt to Image Jpg/Jpeg
    OfficeConvert Software Homepage

Strativia Software
    Budget Forecaster & Expense Tracker Combo Package
    Budget Forecaster for Excel
    Budget Forecaster For Windows
    Budget Forecaster Standard
    Expense Tracker for Excel
    Expense Tracker For Windows
    Strativia Software Homepage

threeonly
    Excel Super Compare
    Excel Super Compare Free Trial
    threeonly Homepage
    Vista Optimize Aide
    Vista Optimize Aide Free Trial

User Solutions, Inc.
  Excel Scheduler
   Noah Workcenter Scheduling
   OM-ACCEPTSA
   OM-ADDITMON
   OM-ANALYSIS OF WAITING LINES
   OM-APP
   OM-CU_CHART
   OM-EOQ
   OM-EOQBACK
   OM-EOQDISC
   OM-EOQPROD
   OM-FACILITY LOCATION
   OM-FORECASTING
   OM-I_CHART
   OM-INVENTORY MANAGEMENT
   OM-LEARN
   OM-LIMIT
   OM-MATERIAL REQUIREMENTS PLANNING
   OM-MR_CHART
   OM-MRP1
   OM-MULTIMON
   OM-MULTIQ
   OM-P_CHART
   OM-POQ
   OM-PRODUCTION PLANNING
   OM-QUALITY CONTROL
   OM-ROP
   OM-RUNOUT
   OM-SCHEDULING
   OM-SIMPLE
   OM-SINGLEQ
   OM-SKED1A
   OM-SKED2A
   OM-SKED3A
   OM-TRENDSMOOTH
   Operations Manager
   Resource Manager for Excel
   Resource Manager for Excel/BOR
   Resource Manager for Excel/FORE
   Resource Manager for Excel/FULL
   Resource Manager for Excel/PLAN
   Spreadsheet QC
   Spreadsheet Scheduler
   User Solutions, Inc. Homepage
   Workcell Planner
VaySoft LTD.
    MS Excel File Properties Changer
    MS Word Document File Properties Changer
    PPT to EXE Converter
    PPT to EXE Converter Enterprise
    PPT to EXE Converter Enterprise Free Trial
    Presentation Aide
    Presentation Aide Free Trial
    VaySoft Homepage

VJ Inc (vgupta)
    Assistance Ticket
    Charting In Excel
    Comprehensive Excel
    Excel - Beyond The Basics
    Excel For Beginners
    Interpreting Regression Output
    SPSS 11 for Beginners 2nd Edition
    Statistics Using Excel
    VJ Inc Homepage

word-pdf-convert Software
    All Office Converter Pro
    All to Image Jpg/Jpeg Bmp Tiff Png Converter
    Doc Xls PPT Txt To Pdf Converter
    Easy Word to Pdf Converter
    Excel/Xls to Image Jpg/Jpeg Bmp Tiff Png Converter
    Excel/Xls to Pdf Converter
    Htm/Html to Image Jpg/Jpeg Converter
    Image TIFF Jpeg Text to Pdf Converter
    Power Word to Pdf Converter
    PowerPoint/PPT to Image Jpg/Jpeg Bmp Png Converter
    PowerPoint/PPT to Pdf Converter
    Quick Word to Pdf Converter
    Text to Pdf Converter&Creator
    Word Excel PowerPoint to Pdf Converter
    word-pdf-convert Software Homepage
    Word/Doc Excel/Xls PowerPoint/PPT To Text Converter
    Word/Doc Excel/Xls to Htm Html Converter
  Word/Doc to Pdf Converter&Creator
  Word/Doc Txt to Image Jpg/Jpeg Bmp Tiff Png Converter

ZRandom
  ZRandom for Excel
  ZRandom Homepage

				
DOCUMENT INFO
Description: Excel Templates For All Your Needs: NPV Excel templates, IRR, EVA, Investment Valuation, Cash Flow, Budget Forecasting, and more