Description
This is the most practical, wide-ranging, and useful guide to using Microsoft Excel 2010 for business analysis. Long-time Excel MVP Conrad Carlberg shows how to use Excel 2010 to gain insight and solve problems in virtually every area of business, from finance and marketing to quality management. Utilizing real-world examples, he demonstrates how to make the most of powerful new Excel 2010 features, including Sparklines, Excel Web App, Slicer, and Excel's new Solver and calculation engine. Writing for managers and professionals in businesses of all sizes, Carlberg covers these and many other topics: " Analyzing revenues, profits, cash flow, fixed assets, inventories, growth, working capital, and more " Forecasting sales through regression and smoothing approaches " Preparing business cases and pro formas that reflect market size/share, opportunity costs, discount rates, profitability, payback times, and contribution and margin analysis " Using Excel's built-in functions to measure product quality, uncover problems, and identify solutions This book will be indispensable for all Excel user who wants to gain a deeper understanding of where their businesses stand financially, and make better decisions about investments and business priorities. This book is part of the new MrExcel Library series, edited by Bill Jelen, world-renowned Excel expert and host of the enormously popular Excel help site, MrExcel.com.* Shows how to use Excel to take total control over company finances
* Covers everything from financial statements and marketing to investment decision-making and quality management, using real-world examples
* Demonstrates powerful new features, including Sparklines, Slicer, and the new Solver
* Part of the new MrExcel's Library series, edited by Excel legend Bill Jelen
CONTENTS:
I. Financial Statements and Statement Analysis
1. Working with Income Statements
2. Balance Sheet: Current Assets
3. Valuing Inventories for the Balance Sheet
4. Summarizing Transactions: From the Journals to the Balance Sheet
5. Working Capital and Cash Flow Analysis
6. Statement Analysis
7. Ratio Analysis
II. Financial Planning and Control
8. Budgeting and Planning Cycle
9. Forecasting and Projections
10. Measuring Quality
III. Investment Decisions
11. Examining a Business Case: Investment
12. Examining Decision Criteria for a Business Case
13. Creating a Sensitivity Analysis for a Business Case
14. Planning Profits
15. Making Investment Decisions Under Uncertain Conditions
16. Fixed Assets
IV. Sales and Marketing
17. Revenue Recognition and Income Determination
18. Importing Business Data into Excel
19. Analyzing Contributions and Margins
20. Pricing and Costing
Published
29 Jun 2010
Publisher
QUE
ISBN
9780789743176
Pages
515




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