Learn how to analyze the top line (aka revenue) for your company and identify areas of under- or overperformance with Excel.
Learn how to analyze the bottom line (or profitability) of your company, by analyzing your gross margin and operating expenses with Excel.
Teaches you the fundamental skills you need to work with Excel.
Explores the functions, commands, and techniques in Excel that quickly restructure data, remove unwanted characters, convert date data into the desired format, and prepare data for efficient analysis.
These Excel tutorials offer easy-to-use database commands and methods for maintaining an Excel database.
Shows how to perform a wide range of financial calculations quickly and easily using the many financial functions found in Excel 2010.
Use the data validation tools in Excel to control how users can input data into workbooks and ensure data is entered consistently and accurately.