Excel Financial Accounting templates, add-ins and spreadsheet business solutions
Excel templates, add-ins and spreadsheet solutions for applications in corporate financial accounting. These Excel solutions are designed to facilitate the construction of reports based on financial accounting standards and can be applied to assess the accounting and regulatory impacts of business case and investment proposals. Excel templates and solutions assist with the creation of required and pro forma financial accounting statements for stakeholder and administrative reporting as well as presentation for potential financing requirements.
The 5 Year Financial Plan for Excel provides fast track compilation of 5-year financial plans for a single business to plug straight into your business plans for presentations to venture capital sources, investors, banks, or for company planning purposes.
Asset Register for Excel provides a complete ready-made register for recording assets, asset classes, dates of purchase, accounting expenses, depreciation periods, locations, General Ledger codes, and for calculating month end cumulative depreciation and written down values.
Monthly Financial Reporting for Excel provides month by month budgets that produce your profit & loss income statement forecasts, balance sheet forecasts, cash flows, monthly bank covenant balance forecasts and the key financial ratios.
This basic Income Statement template is an Excel spreadsheet for those who prefer to do their own valuation and/or analysis and would rather not spend the significant time needed to create the financial statements.
Create the most complete and accurate financial accounting projections using the techniques that experts use Prepare pro-forma sales and expense projections, income statements, balance sheets, cash flows, debt and asset schedules, and more.
Import MYOB Data for Excel will import and format monthly Profit and Loss data from MYOB (Mind Your Own Business - accounting software). Using this information it will compile a flexible Excel Profit and Loss report.
Financial Statement Templates for Excel include a standard and generic income statement, balance sheet and statement of cash flow for a series of time periods integrated with flexible input parameters and financial ratios.