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Pacchetto Gestione Aziendale (42 file)

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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:

  1. Activity-based cost tracker.xlsx
  2. Balance Sheet.xlsx
  3. Bill of materials.xlsx
  4. Break-even analysis.xlsx
  5. Business Acquisition.xlsx
  6. Business Dashboard.xlsx
  7. Business Indebtedness.xlsx

Vedi nella scheda “Descrizione” l’elenco completo dei file.

Categoria:

Descrizione

Elenco dei 42 file contenuti nel Pacchetto Gestione Aziendale:

  1. Activity-based cost tracker.xlsx
  2. Balance Sheet.xlsx
  3. Bill of materials.xlsx
  4. Break-even analysis.xlsx
  5. Business Acquisition.xlsx
  6. Business Dashboard.xlsx
  7. Business Indebtedness.xlsx
  8. Cash Budget.xlsx
  9. Cash Flow Sensitivity.xlsx
  10. Cash voucher.xlsx
  11. Company valuation DFC.xlsx
  12. Credit Note.xlsx
  13. Debit memo template.xlsx
  14. Economic order quantity.xlsx
  15. Expense Report.xlsx
  16. Financial Dashboard.xlsx
  17. Financial proposal template.xlsx
  18. Financial Statemens.xlsx
  19. Five Year Projections.xlsx
  20. Income Statement.xlsx
  21. Installments sales model.xlsx
  22. Investment Record.xlsx
  23. Invoice.xlsm
  24. Job estimate.xlsx
  25. Log book for tax purpose.xlsx
  26. Minutes of Meeting Report.xlsm
  27. Net Operating Income.xlsx
  28. Online sale tracker.xlsm
  29. Pay Statement.xlsm
  30. Personal net worth.xlsx
  31. Pro-Forma Balance Sheet.xlsx
  32. Pro-Forma Income Stmt.xlsx
  33. Purchase order.xlsx
  34. Sales dashboard.xlsx
  35. Sales performance.xlsx
  36. Start up Budget.xlsx
  37. Start up Capitalization.xlsx
  38. Statement of Cash Flows.xlsx
  39. To do list management.xlsx
  40. Training log.xlsx
  41. Weekly Cash Flow.xlsx
  42. Year End Tax Plan.xlsx