When calculating the optimum incoming and outgoing cash flow, your business must consider using free excel templates. These work well for cash flow budget sensitivity analysis calculations and records. Cash Flow Budget Sensitivity…
Financial
Cash Flow ROI Valuation Model Audit
What is a Cash Flow ROI Valuation Model Audit Template? One of the most important factors when running a new business is up-to-date financial data. This is critical in the growth for a…
Cash Gap
Many businesses, especially retail, go through cash gap situations now and then. This is merely the time interval between the day when a business pays cash for their inventory, and the date it…
Car Lease Calculation
This Excel template calculates the amount of a lease for a potential car that a buyer might be interested in purchasing. You can enter a down payment amount plus the amount of the…
Capital Structure
Companies can choose the mix of equity and debt they want to finance their assets, depending upon the willingness of lenders to provide these funds. Within thousands of companies, there exists a mix…
Equity Analysis
Many stocks and bonds are down, and finding the right portfolio mix has never been harder. That is why many financial firms, and individual investors, rely upon some heavy equity analysis approaches when…