Learn how to read income statements, cash flow statements, and balance sheets and assess the financial health of your business and your competition.
Shows how to perform a wide range of financial calculations quickly and easily using the many financial functions found in Excel 2010.
Shows managers and executives how to assess their organization's data effectively by applying statistical analysis techniques.
Shows business owners and managers how to use Excel to create useful budgets that help them manage resources prudently.
Set up an efficient and flexible invoice management system with these Excel tutorials.
Provides a basic fluency in corporate finance, enabling users to grasp the meaning behind the calculations.