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Anyone with an Office 365 subscription can use the Data Visualizer add-in to create Visio diagrams, use the underlying Excel data to modify diagrams; and view, print, and share diagrams.
Learn how to use Excel to forecast cash flow for corporate finance. This article shows you how to prepare, calculate, build, validate, visualize, and update your cash flow model with Excel.
This blog post is brought to you by Diego Oppenheimer a Program Manager on the Excel team. I am very happy to be writing this blog post today. Not just because I will be showing you another way Excel ...
You can use Excel's Conditional Formatting, Chart, and Pivot Table features to visualize and summarize your data. Add your perspective Help others by sharing more (125 characters min.) Cancel ...
I asked the user to send me the sheet he uses for his budget tracking, removed all the data, and then converted it to a table. Here is the sample sheet we are using for this Flow. Get familiar with it ...
The Excel spreadsheet is often used along with PowerPoint presentations to produce budget reports, business plans, inventory details, financial reports, project status reports, etc. Microsoft ...
If you've have lots of data and lots of analysis to do, but little time or skill, you need Excel's Power Pivot feature. Here's how to get started with it.
Sketching your formulas on paper or in a simpler Excel sheet can help you visualize data flow and reduce errors. Tools like ...
From the blank Excel workbook, create a worksheet for your cash flow statement by renaming the first worksheet to ‘Cash Flow Statement.’ Next, create two columns labelled ‘Cash inflow’ and ‘Cash ...
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