Corporate Financial Analysis with Microsoft Excel

Corporate Financial Analysis with Microsoft®Excel® visualizes spreadsheets as an effective management tool both for financial analysis and for coordinating its results and actions with marketing, sales, production and service operations, quality control, and other business functions.

Taking an integrative view that promotes teamwork across corporate functions and responsibilities, the book contains dozens of charts, diagrams, and actual Excel® screenshots to reinforce the practical applications of every topic it covers. The first two sections—Financial Statements and Cash Budgeting—explain how to use spreadsheets for:

  • Preparing income statements, balance sheets, and cash flow statements
  • Performing vertical and horizontal analyses of financial statements
  • Determining financial ratios and analyzing their trends and significance
  • Combining quantitative and judgmental techniques to improve forecasts of sales revenues and customer demands
  • Calculating and applying the time value of money
  • Managing inventories, safety stocks, and the allocation of resources

The third and final section—Capital Budgeting—covers capital structure, the cost of capital, and leverage; the basics of capital budgeting, including taxes and depreciation; applications, such as new facilities, equipment replacement, process improvement, leasing versus buying, and nonresidential real estate; and risk analysis of capital budgets and the potential impacts of unforeseen events.

Corporate Financial Analysis with Microsoft®Excel® takes a broad view of financial functions and responsibilities in relation to those of other functional parts of modern corporations, and it demonstrates how to use spreadsheets to integrate and coordinate them. It provides many insightful examples and case studies of real corporations, including Wal-Mart, Sun Microsystems, Nike, H. J. Heinz, Dell, Microsoft, Apple Computer, and IBM.

Corporate Financial Analysis with Microsoft®Excel® is the ideal tool for managing your firm’s short-term operations and long-term capital investments.

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Corporate Financial Analysis with Microsoft Excel

Corporate Financial Analysis with Microsoft®Excel® visualizes spreadsheets as an effective management tool both for financial analysis and for coordinating its results and actions with marketing, sales, production and service operations, quality control, and other business functions.

Taking an integrative view that promotes teamwork across corporate functions and responsibilities, the book contains dozens of charts, diagrams, and actual Excel® screenshots to reinforce the practical applications of every topic it covers. The first two sections—Financial Statements and Cash Budgeting—explain how to use spreadsheets for:

  • Preparing income statements, balance sheets, and cash flow statements
  • Performing vertical and horizontal analyses of financial statements
  • Determining financial ratios and analyzing their trends and significance
  • Combining quantitative and judgmental techniques to improve forecasts of sales revenues and customer demands
  • Calculating and applying the time value of money
  • Managing inventories, safety stocks, and the allocation of resources

The third and final section—Capital Budgeting—covers capital structure, the cost of capital, and leverage; the basics of capital budgeting, including taxes and depreciation; applications, such as new facilities, equipment replacement, process improvement, leasing versus buying, and nonresidential real estate; and risk analysis of capital budgets and the potential impacts of unforeseen events.

Corporate Financial Analysis with Microsoft®Excel® takes a broad view of financial functions and responsibilities in relation to those of other functional parts of modern corporations, and it demonstrates how to use spreadsheets to integrate and coordinate them. It provides many insightful examples and case studies of real corporations, including Wal-Mart, Sun Microsystems, Nike, H. J. Heinz, Dell, Microsoft, Apple Computer, and IBM.

Corporate Financial Analysis with Microsoft®Excel® is the ideal tool for managing your firm’s short-term operations and long-term capital investments.

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Corporate Financial Analysis with Microsoft Excel

Corporate Financial Analysis with Microsoft Excel

by Francis J. Clauss
Corporate Financial Analysis with Microsoft Excel

Corporate Financial Analysis with Microsoft Excel

by Francis J. Clauss

Hardcover(List)

$96.00 
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Overview

Corporate Financial Analysis with Microsoft®Excel® visualizes spreadsheets as an effective management tool both for financial analysis and for coordinating its results and actions with marketing, sales, production and service operations, quality control, and other business functions.

Taking an integrative view that promotes teamwork across corporate functions and responsibilities, the book contains dozens of charts, diagrams, and actual Excel® screenshots to reinforce the practical applications of every topic it covers. The first two sections—Financial Statements and Cash Budgeting—explain how to use spreadsheets for:

  • Preparing income statements, balance sheets, and cash flow statements
  • Performing vertical and horizontal analyses of financial statements
  • Determining financial ratios and analyzing their trends and significance
  • Combining quantitative and judgmental techniques to improve forecasts of sales revenues and customer demands
  • Calculating and applying the time value of money
  • Managing inventories, safety stocks, and the allocation of resources

The third and final section—Capital Budgeting—covers capital structure, the cost of capital, and leverage; the basics of capital budgeting, including taxes and depreciation; applications, such as new facilities, equipment replacement, process improvement, leasing versus buying, and nonresidential real estate; and risk analysis of capital budgets and the potential impacts of unforeseen events.

Corporate Financial Analysis with Microsoft®Excel® takes a broad view of financial functions and responsibilities in relation to those of other functional parts of modern corporations, and it demonstrates how to use spreadsheets to integrate and coordinate them. It provides many insightful examples and case studies of real corporations, including Wal-Mart, Sun Microsystems, Nike, H. J. Heinz, Dell, Microsoft, Apple Computer, and IBM.

Corporate Financial Analysis with Microsoft®Excel® is the ideal tool for managing your firm’s short-term operations and long-term capital investments.


Product Details

ISBN-13: 9780071628853
Publisher: McGraw Hill LLC
Publication date: 08/19/2009
Series: McGraw-Hill Finance & Investing
Edition description: List
Pages: 528
Product dimensions: 8.20(w) x 10.00(h) x 1.00(d)

About the Author

Francis J. Clauss, Ph.D., teaches in theMBA program at Golden Gate University’sSchool of Business. He earned his Ph.D.from the University of Michigan and hasboth technical and management experiencein the steel, chemical, and aerospace industries.He lives in Palo Alto, California.

Table of Contents

1: Corporate Financial Statements 2: Analysis of Financial Statements 3: Forecasting Annual Revenues 4: Forecasting Financial Statements 5: Forecasting Seasonal Revenues 6: Time Value of Money 7: Cash Budgeting 8: Cost of Capital 9: Profits, Leverage 10: Depreciation, Taxes 11: Capital Budgeting 12: Applications of Capital Budgeting 13: Capital Budgeting: Risk Analysis 14: Capital Budgeting: Monte Carlo
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