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Welcome to our accessible alternative version of the Finance Action Planner. This
is in the form of a Microsoft Excel spreadsheet.
This alternative version allows you to create all of the same financial forecasts
as the JavaScript-enabled version, the only differences being that certain timesaving
functions (such as automatic completion of fields) are not available, nor can
you run any what if? scenarios.
By filling in the relevant empty fields on the spreadsheet, you can create
cashflow forecasts for two years, plus generate associated Profit and Loss Accounts
and VAT Analyses. You can save the spreadsheet to your own computer so that
you can revisit at a later date.
The spreadsheet includes help tips to aid the completion of each field.
Click here to open the spreadsheet.
If you have any questions regarding the accessibility features of the spreadsheet,
take a look at Microsofts advice at: http://office.microsoft.com/assistance/preview.aspx?AssetID=HP051984341033&CTT=4&Origin=CH062527701033
To learn about financial matters in more detail, and to investigate sources
of funding, take a look at our Finance and Funding module:
http://www.shell-livewire.org/beyourownboss/main.php?catid=1
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