Software : Business : Accounting Software for Excel

Asset Register PRO   $135.00

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Asset Register PRO for Excel supplies nine asset registers plus YTD depreciation reports for fixed, intangible and investment assets, updating and reporting depreciation calculations and book values at each month end. Each asset entered into the register can contain the asset sequence number, date of purchase, description of asset, serial number, supplier's name, purchase order number, G/L reference code, accounting cost, useful life (depreciation period), physical location, plus if/when disposed/sold and gain/loss calculations and impairment ledgers for investments, intangibles and goodwill. Asset Register PRO can be used by the smallest to the largest enterprise to keep track of their assets and monthly depreciation calculations. Asset Register PRO applies the straight-line depreciation method, and the declining balance method adjusted annually and monthly. Depreciation tables supply monthly depreciation and cumulative depreciation from the acquired date to any period up to 240 months.

Quick and easy entry of assets into the registers using Excel's Data (Entry) > Form with the Name box.

Asset Register PRO provides continuous month end sequencing so that the asset class registers update each asset depreciation and book value every month automatically and combines all month end values into a Year To Date and Totals report. Different depreciation periods can be applied to individual assets and within each class of assets.

Asset Register PRO calculates book values at disposal dates and gain/losses on disposal.

All month end depreciation calculations and book balances can be recalculated backwards and forwards to any month end date by making a simple one step adjustment to the month end date held in the adate field. You can recalculate and forecast depreciation totals and written down balances for any month end past or future. Such calculations can be very useful for preparing financial business forecasts and for checking depreciation calculations.

Provides asset confirmation fields for audit purposes.

CASH FLOW BUDGETING AND VARIANCE CALCULATIONS PLUS 50 DAYS CASH FLOW FORECASTING  $99.95

Budget-Calc PRO provides managers with quick ready to use Excel templates for preparing investment plan forecasts, profit/loss plans/budgets, cash flow forecasts, sales and productivity plans, capital budget spreadsheets, plus loan repayment amortization and depreciation tables for Excel.

All Programs Gold Edition  $127.50

All Programs supplies: 
Investment-Calc PRO for NPV & IRR calculations.
Cash Flow templates
10 Year financial plan templates (balance sheets, income, cash flows and ratios_ Financial ratios for 2 and 5 periods.
Loans Amortization Manager
CheckMy Loans 2000
Budget Templates
Costing templates
Valuation templates
Buy To Rent NPV & IRR templates
Asset Register PRO templates

OS : Windows 95, 98, ME, or XP & MS Office or Excel 97 or 2000

Loan Assistant for Microsoft Excel  $49.95

Free 30 Day Money Back Guarantee

The Loan Assistant provides you with detailed information on any loan. It creates detailed amortization tables and graphs of the loan payments. The Loan Assistant can handle a wide variety of loans, from weekly payments to annual payments and loans with balloon payments. You can also easily see the savings from advance payments on your loan.

Excel 97/2000/XP

OS: Windows 98/NT/2000/ME/XP

Investment Valuation    $26.00

The Investment Valuation model is ideal for evaluating a wide range of investment and business case scenarios. While it is based on the traditional discounted cash flow method of valuation, its also provides ability to evaluate economic value added valuation, accounting impact, and a range of other evaluation parameters. Furthermore, the step-by-step input flow makes usage straightforward, gaining quick results to drive decision-making.

The key features of the Investment Valuation template include:

Ease and flexibility of input, with embedded help prompts.

Cost of capital calculation.

Economic value added valuation with flexibility on identifying economic costs with specific amortization periods.

Accurate handling of asset purchase, disposal and depreciation with capital and gearing impacts.

Evaluation of new investments or changes to existing investments.

Unique 'finite' terminal value calculation alternative to mimic investment life cycles.

Unique Comparative Investment Score can be set to evaluate and prioritise different investments, depending on the prevailing business environment.

(Requires Microsoft Excel 97 or above)

Financial Ratios For Business Performance Measures   $99.95

Calculate Financial Ratios Using WINDEX (5) For Excel.

Windex (5) provides a family of five prepared Excel worksheets for setting up five year balance sheets, income statements and cash flow reports from which Windex calculates all fifty key financial ratios together with messages alerting you to the significance of period to period changes. You can use just one set of financial data inputs to calculate one period ratios. Each ratio is fully explained with all equations listed.

Report Runner for Microsoft Excel

  $99.95

Awards:5 Stars

Free 30 Day Money Back Guarantee

Print your Excel reports automatically in the order you need them. The Report Runner stores your report settings and automatically opens workbooks, sets up the worksheets and prints the reports or exports to an Excel workbook for e-mailing.

Excel 97/2000/XP

OS : Windows 9x/Me/NT/2000/XP

Money Tracker for Microsoft Excel   $19.95

The Money Tracker for Microsoft Excel is a set of worksheets that lets you keep track of your money the way you want to! Great for home or business use. Like all our applications, it is menu driven for ease of use

Easy Checkbook for Microsoft Excel $19.95

Awards:5 Stars

Free 30 Day Money Back Guarantee

Easy Checkbook is the easiest way to keep track of your checks and deposits and it lets you use the power of Excel to make this job even easier.. And it takes the pain out of balancing your checkbook. You can sort your checks by amount, who you wrote them to, the day paid by your bank, and many more ways. It also will flag any check that is a tax deductible item for you.

Buttons on the Easy Checkbook toolbar allow you to move your entries up or down to match the exact order of your bank statement or your statement when viewed on the internet.

When you are balancing your bank statement, Easy Checkbook not only checks if you have entered a check based on the check number, it also verifies the check amount! Other checkbook programs such as Quicken only verify the check number, leaving you open to an incorrect entry and hours of work finding which check is incorrect. Use Easy Checkbook to avoid this problem and save time!

Easy Checkbook also allows you to put in future entries! Now, you can automatically put in monthly or weekly entries for expected bills and deposits so that you can see what your cash flow will be by month for the rest of the year!

Easy Checkbook also lets you record the purpose of a check so that you can see by category where you have spent your money. And there are many more features!

Excel 97/2000/XP

OS: Windows 98/NT/2000/ME/XP

Car Lease Analyzer for Microsoft Excel   $24.95

Awards:5 Stars

The Car Lease Analyzer helps you make the right financial decision on car leasing. It shows you how to look at all the financial aspects of car leasing. It tells you if it is better to lease versus buy and how much you will save. It saves you money.

The Car Lease Analyzer does more than a simple analysis. It takes into account many factors, including:

One-time beginning of lease expenses such as

Down payment you make

Refundable deposits

Acquisition fee

Dealer prep, destination fees, etc

Lease service/origination charge

Dealer add-ons you buy

First month's payment

First month's GAP insurance

First month's required insurance

First month's dealer required maintenance fee

Taxes, title, registration, license

Other fees and charges (non-refundable)

Special monthly lease payments such as GAP protection

Insurance

Dealer required maintenance fee

Maintenance (not covered by a maintenance fee)

Other monthly expenses such as:

One-time end of lease expenses

Expense for miles over allowance

Excess wear and tear

Tire replacement

Other turn-in preparation cost

Additional accident repairs required by dealer

Purchase buy-out fees/costs (end of lease)

Dealer disposition fee

It gives you straight forward, no-nonsense advise on how to lease a car. The combination of an accurate financial assessment and no-nonsense advise make the Car Lease Analyzer a must have money saver.

Excel 97/2000/XP

OS: Windows 98/NT/2000/ME/XP

TimeAndWageBook + free Excel Download Package ($12.95) + free File Size Reducer for Excel

    $35.00

Free 30 Day Money Back Guarantee

If you need to track employee hours and calculate their pay based on the hours worked, this Workbook will make it a breeze! It is an Excel Workbook which you enter, one time only, all your employee names into. You then enter their hourly rate and then simply enter their total hours worked for each day. It also has the option to add 2 different overtime rates and the hours after which these rates apply, all calculations are done for you! You can also (optionally) add 2 different rates for both Saturday and Sunday rates. If your employees work Public holidays, there is another option for Public holiday rates. All you do is fill in the needed details once and save as a Template.

Excel 97/2000/XP and Windows

Excel Time Sheet + free Excel Download Package ($12.95) + free File Size Reducer for Excel

    $15.95

This extremely easy and simple to use Excel Time Sheet will keep track of your employees hours. It allows you to specify and set unpaid breaks in 5 minute intervals on a daily basis. If your employees work hours that span into a new day, no problem, the time calculations will accommodate this. All Start and End times span a 24 hours period in 15 minute intervals, all you do is select a Start time and End time from a drop down list. This makes it impossible to enter times that Excel wont recognize.

All you do is enter your employee names once, save as a Template and you are set.

The Time Sheet incorporates a 7 day week with any day being optional. If you need another pay period let us know and we will modify it for you.

Excel 97/2000/XP and Windows

Excel Time Sheet Advanced   + free Excel Download Package ($12.95) + free File Size Reducer for Excel

   $29.95

This extremely easy and simple to use Excel Time Sheet will keep track of your employees hours. It allows you to specify and set unpaid breaks in 5 minute intervals on a daily basis. If your employees work hours that span into a new day, no problem, the time calculations will accommodate this. All Start and End times span a 24 hours period in 15 minute intervals, all you do is select a Start time and End time from a drop down list. This makes it impossible to enter times that Excel wont recognize.

The Time Sheet incorporates a 1, 2, 3 or 4 week period with any week and/or day being optional. All you do is enter your employee names once, save as a Template and you are set.

1 Enter your employee names in the cells below Employee Name. The same names will automatically flow through to Week2, Week3 and Week4.
2 Select the starting date from directly below Week 1 Includes. 7 day periods will automatically flow through to Week2, Week3 and Week4.
3 Once you have done this, go to File>Save As and Save as a Template into the path that Excel defaults to.
4 If Week2, Week3 or Week4 are not needed, simply ignore them and do not enter any times on them.
5 You can now add the Time Sheet as a Template Workbook simply by going to File>New

The Totals sheet has a very easy to use Pivot Table which is based off all employees and their hours. You can simply specify to display results by Week and/or by Name or show All Names and/or All Weeks. Double clicking on any hours within the Total Hours field will give you a Break Down of the displayed data.

Excel 97/2000/XP and Windows

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