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    Corporate Financial Analysis with Microsoft Excel

    Corporate Financial Analysis with Microsoft Excel by Clauss, Francis;

    Sorozatcím: PROFESSIONAL FINANCE & INVESTM;

      • 10% KEDVEZMÉNY?

      • A kedvezmény csak az 'Értesítés a kedvenc témákról' hírlevelünk címzettjeinek rendeléseire érvényes.
      • Kiadói listaár GBP 85.99
      • Az ár azért becsült, mert a rendelés pillanatában nem lehet pontosan tudni, hogy a beérkezéskor milyen lesz a forint árfolyama az adott termék eredeti devizájához képest. Ha a forint romlana, kissé többet, ha javulna, kissé kevesebbet kell majd fizetnie.

        38 824 Ft (36 975 Ft + 5% áfa)
      • Kedvezmény(ek) 10% (cc. 3 882 Ft off)
      • Kedvezményes ár 34 941 Ft (33 278 Ft + 5% áfa)

    38 824 Ft

    db

    Beszerezhetőség

    Megrendelésre a kiadó utánnyomja a könyvet. Rendelhető, de a szokásosnál kicsit lassabban érkezik meg.

    Why don't you give exact delivery time?

    A beszerzés időigényét az eddigi tapasztalatokra alapozva adjuk meg. Azért becsült, mert a terméket külföldről hozzuk be, így a kiadó kiszolgálásának pillanatnyi gyorsaságától is függ. A megadottnál gyorsabb és lassabb szállítás is elképzelhető, de mindent megteszünk, hogy Ön a lehető leghamarabb jusson hozzá a termékhez.

    A termék adatai:

    • Kiadó McGraw Hill
    • Megjelenés dátuma 2009. október 16.

    • ISBN 9780071628853
    • Kötéstípus Keménykötés
    • Terjedelem528 oldal
    • Méret 261x213x23 mm
    • Súly 1193 g
    • Nyelv angol
    • 0

    Kategóriák

    Rövid leírás:

    Executive guidance forenhancing business managementthrough spreadsheets

    Learning from spreadsheet models is cheaper, faster, and less hazardous than learning in the realworld. Corporate Financial Analysis with Microsoft® Excel® contains numerous examples demonstratinghow to use spreadsheet models to help you manage more effectively under a wide range ofconditions and assumptions. You’ll learn how to use Excel’s powerful tools to:

    • Perform sensitivity analysis and alert managers to the financialimpact of unexpected conditions that might occur
    • Identify the best strategies to maximize profits,minimize costs, and achieve other goals
    • Use Monte Carlo simulation to provide a complete picture of the risksand probabilities of doing business in an uncertain environment

    Corporate Financial Analysis with Microsoft® Excel® provides practical, real-life examples to help yourelate to both the quantitative and qualitative sides of business management. In addition to usingspreadsheets for analysis, you will learn how to apply them in management presentations that areconvincing, and be able to justify your recommendations.

    Corporate Financial Analysis with Microsoft® Excel® helps you become a better manager and decisionmaker—not just a skilled spreadsheet programmer. In today’s evolving markets, it is a must-havetoolbox of skills for every manager.

    Több

    Hosszú leírás:

    Corporate Financial Analysis with Microsoft®Excel® visualizes spreadsheets as an effectivemanagement tool both for financial analysisand for coordinating its results and actionswith marketing, sales, production and serviceoperations, quality control, and other businessfunctions.

    Taking an integrative view that promotesteamwork across corporate functions andresponsibilities, the book contains dozens ofcharts, diagrams, and actual Excel® screenshotsto reinforce the practical applications ofevery topic it covers. The first two sections—Financial Statements and Cash Budgeting—explain how to use spreadsheets for:

    • Preparing income statements,balance sheets, and cashflow statements
    • Performing vertical andhorizontal analyses offinancial statements
    • Determining financial ratiosand analyzing their trendsand significance
    • Combining quantitative andjudgmental techniques to improveforecasts of sales revenues andcustomer demands
    • Calculating and applying thetime value of money
    • Managing inventories,safety stocks, and theallocation of resources

    The third and final section—Capital Budgeting—covers capital structure, the cost ofcapital, and leverage; the basics of capitalbudgeting, including taxes and depreciation;applications, such as new facilities, equipmentreplacement, process improvement, leasingversus buying, and nonresidential real estate;and risk analysis of capital budgets and thepotential impacts of unforeseen events.

    Corporate Financial Analysis with Microsoft®Excel® takes a broad view of financial functionsand responsibilities in relation to thoseof other functional parts of modern corporations,and it demonstrates how to use spreadsheetsto integrate and coordinate them. Itprovides many insightful examples and casestudies of real corporations, including Wal-Mart, Sun Microsystems, Nike, H. J. Heinz,Dell, Microsoft, Apple Computer, and IBM.

    Corporate Financial Analysis with Microsoft®Excel® is the ideal tool for managing yourfirm’s short-term operations and long-termcapital investments.



    Corporate Financial Analysis with Microsoft®Excel® visualizes spreadsheets as an effectivemanagement tool both for financial analysisand for coordinating its results and actionswith marketing, sales, production and serviceoperations, quality control, and other businessfunctions.

    Taking an integrative view that promotesteamwork across corporate functions andresponsibilities, the book contains dozens ofcharts, diagrams, and actual Excel® screenshotsto reinforce the practical applications ofevery topic it covers. The first two sections—Financial Statements and Cash Budgeting—explain how to use spreadsheets for:

    • Preparing income statements,balance sheets, and cashflow statements
    • Performing vertical andhorizontal analyses offinancial statements
    • Determining financial ratiosand analyzing their trendsand significance
    • Combining quantitative andjudgmental techniques to improveforecasts of sales revenues andcustomer demands
    • Calculating and applying thetime value of money
    • Managing inventories,safety stocks, and theallocation of resources

    The third and final section—Capital Budgeting—covers capital structure, the cost ofcapital, and leverage; the basics of capitalbudgeting, including taxes and depreciation;applications, such as new facilities, equipmentreplacement, process improvement, leasingversus buying, and nonresidential real estate;and risk analysis of capital budgets and thepotential impacts of unforeseen events.

    Corporate Financial Analysis with Microsoft®Excel® takes a broad view of financial functionsand responsibilities in relation to thoseof other functional parts of modern corporations,and it demonstrates how to use spreadsheetsto integrate and coordinate them. Itprovides many insightful examples and casestudies of real corporations, including Wal-Mart, Sun Microsystems, Nike, H. J. Heinz,Dell, Microsoft, Apple Computer, and IBM.

    Corporate Financial Analysis with Microsoft®Excel® is the ideal tool for managing yourfirm’s short-term operations and long-termcapital investments.

    Több

    Tartalomjegyzék:

    1: Corporate Financial Statements
    2: Analysis of Financial Statements
    3: Forecasting Annual Revenues
    4: Forecasting Financial Statements
    5: Forecasting Seasonal Revenues
    6: Time Value of Money
    7: Cash Budgeting
    8: Cost of Capital
    9: Profits, Leverage
    10: Depreciation, Taxes
    11: Capital Budgeting
    12: Applications of Capital Budgeting
    13: Capital Budgeting: Risk Analysis
    14: Capital Budgeting: Monte Carlo

    Több
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