Pacchetto Gestione Aziendale (42 file)
9,99€
Raccolta di 42 modelli da utilizzare per la Gestione Aziendale su Excel, utile in azienda per assicurare che vengano raggiunti obiettivi di economicità e operare secondo criteri di efficacia ed efficienza.
Anteprima elenco dei file contenuti nel Pacchetto Gestione Aziendale:
- Activity-based cost tracker.xlsx
- Balance Sheet.xlsx
- Bill of materials.xlsx
- Break-even analysis.xlsx
- Business Acquisition.xlsx
- Business Dashboard.xlsx
- Business Indebtedness.xlsx
Vedi nella scheda “Descrizione” l’elenco completo dei file.
Descrizione
Elenco dei 42 file contenuti nel Pacchetto Gestione Aziendale:
- Activity-based cost tracker.xlsx
- Balance Sheet.xlsx
- Bill of materials.xlsx
- Break-even analysis.xlsx
- Business Acquisition.xlsx
- Business Dashboard.xlsx
- Business Indebtedness.xlsx
- Cash Budget.xlsx
- Cash Flow Sensitivity.xlsx
- Cash voucher.xlsx
- Company valuation DFC.xlsx
- Credit Note.xlsx
- Debit memo template.xlsx
- Economic order quantity.xlsx
- Expense Report.xlsx
- Financial Dashboard.xlsx
- Financial proposal template.xlsx
- Financial Statemens.xlsx
- Five Year Projections.xlsx
- Income Statement.xlsx
- Installments sales model.xlsx
- Investment Record.xlsx
- Invoice.xlsm
- Job estimate.xlsx
- Log book for tax purpose.xlsx
- Minutes of Meeting Report.xlsm
- Net Operating Income.xlsx
- Online sale tracker.xlsm
- Pay Statement.xlsm
- Personal net worth.xlsx
- Pro-Forma Balance Sheet.xlsx
- Pro-Forma Income Stmt.xlsx
- Purchase order.xlsx
- Sales dashboard.xlsx
- Sales performance.xlsx
- Start up Budget.xlsx
- Start up Capitalization.xlsx
- Statement of Cash Flows.xlsx
- To do list management.xlsx
- Training log.xlsx
- Weekly Cash Flow.xlsx
- Year End Tax Plan.xlsx