Edité par Continental Academy Press, London
Vendeur : Continental Academy Press, London, SELEC, Royaume-Uni
EUR 12,96
Autre deviseQuantité disponible : Plus de 20 disponibles
Ajouter au panierSoftcover. Etat : New. Etat de la jaquette : no dj. First. Managing Cash Flow with Scenario-Based Spreadsheets introduces methods for forecasting and controlling liquidity through flexible Excel models. It emphasizes the creation of scenario analyses to anticipate potential cash flow challenges and develop contingency plans. The book guides users in constructing dynamic spreadsheets that support real-time monitoring and strategic adjustments. It is particularly useful for financial managers, CFOs, and small business owners aiming to maintain financial stability. Publication Year: 2025. SHIPPING TERMS - Depending on your location we may ship your book from the following locations: France, United Kingdom, India, Australia, Canada or the USA. This item is printed on demand.