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FastPlan v provides a complete five year financial plan using Microsoft Excel (97 or higher - Mac or Windows) to generate your balance sheets, income statements and cash flow forecasts from a sales and expenses plan covering 60 monthly periods.
The 2008 edition now includes a Sales Goals Risk analysis spreadsheet which combines up to 30 individual sales activities to calculate the chances of achieving your sales goals applying Monte Carlo simulations of each individual sales activity. Plus you can review simulations of a 12 months forecast of profits or cash flows to determine most probable outcomes with your assumptions of best, median and worst case scenarios.
These two additional risk analysis spreadsheets will help you set your goals and manage the risks within your plan.
With FastPlan you can quickly and easily incorporate accounts receivable and payables and inventory assumptions and create a complete five year schedule of monthly balance sheets and cash flows together with a management summary overview.
No accounting knowledge is required.
Zip file download or select CD edition shipping.