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Practical financial modelling = a gu...
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Practical financial modelling = a guide to current practice /
Record Type:
Language materials, printed : Monograph/item
Title/Author:
Practical financial modelling/ Jonathan Swan.
Reminder of title:
a guide to current practice /
Author:
Swan, Jonathan,
Published:
Burlington, MA :CIMA Publishing, : c2008.,
Description:
xxvii, 282 p. :col. ill. ;24 cm. +1 CD-ROM (4 3/4 in.)
Notes:
Includes exercises and examples using Microsoft Excel.
[NT 15003449]:
Model structure -- Quality control -- Mainly formulas -- Mainly functions -- Model use -- Sensitivity analysis and scenarios -- Automation.
[NT 15003449]:
Introduction; Definitions; Descriptions; Common approaches; Structure; Inputs; Workings; Outputs; Variations; Support; Documentation; Navigation; Content: Formulae; Range names; Corkscrews; Masks and switches; Recalculation; Circularities; Functions; Logical; Lookup; Financial; Other; Custom; Quality control: Audit; Audit sheet; Structural checks; Arithmetical checks; Financial checks; Model Use; Grouping; Data validation and Dropdown lists; Conditional and custom formats; Sensitivity analysis; Reporting - Reports, Charting, Printing; Automation; Macros; Appendix; Keyboard shortcuts; References; Further information; index. --.
Subject:
Business enterprises - Finance -
Online resource:
http://www.sciencedirect.com/science/book/9780750686471An electronic book accessible through the World Wide Web; click for information
ISBN:
0750686472
Practical financial modelling = a guide to current practice /
Swan, Jonathan,MBA.
Practical financial modelling
a guide to current practice /[electronic resource] :Jonathan Swan. - 2nd ed. - Burlington, MA :CIMA Publishing,c2008. - xxvii, 282 p. :col. ill. ;24 cm. +1 CD-ROM (4 3/4 in.)
Includes exercises and examples using Microsoft Excel.
Model structure -- Quality control -- Mainly formulas -- Mainly functions -- Model use -- Sensitivity analysis and scenarios -- Automation.
This second edition of Practical Financial Modelling is vital tool for all finance and management professionals whose work involves the production and development of complex spreadsheets and financial models. The author bridges the gap between the Excel manual and financial literature with a wealth of practical advise and useful tips. The book identifies good practice and highlights those areas which are prone to error and inconsistency resulting in a refreshingly simple approach to building and using financial models suitable for novice and experienced modellers. By using practical worked examples the most effective ways in which problems can be solved are explored. Key themes include: model structure, audit formulae and functions and model use. New to the second edition: Instructive information on Excel 2007 and its enhanced modelling functions and feature; Risk controls in developing and using financial models; Test-yourself modelling problems and applied examples in every chapter; Substantial information related to reporting and charting techniques and an appendix devoted to parallel comparison of how-to in Excel 2003 and 2007. . Instructive information on Excel 2007 and its enhanced modelling functions and features . Risk controls in developing and using financial models . Test-yourself modelling problems and applied examples in every chapter . Substantial information relating to reporting and charting techniques . An appendix devoted to a parallel comparison of how-to in Excel 2003 and Excel 2007.
Electronic reproduction.
Amsterdam :
Elsevier Science & Technology,
2010.
Mode of access: World Wide Web.
ISBN: 0750686472
Source: 141496:141640Elsevier Science & Technologyhttp://www.sciencedirect.comSubjects--Uniform Titles:
Microsoft Excel (Computer file)
Subjects--Topical Terms:
896844
Business enterprises
--FinanceIndex Terms--Genre/Form:
542853
Electronic books.
LC Class. No.: HG4012 / .S93 2008
Dewey Class. No.: 658.150151 22
Practical financial modelling = a guide to current practice /
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a guide to current practice /
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c2008.
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CIMA Publishing,
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xxvii, 282 p. :
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col. ill. ;
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Includes exercises and examples using Microsoft Excel.
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Model structure -- Quality control -- Mainly formulas -- Mainly functions -- Model use -- Sensitivity analysis and scenarios -- Automation.
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Introduction; Definitions; Descriptions; Common approaches; Structure; Inputs; Workings; Outputs; Variations; Support; Documentation; Navigation; Content: Formulae; Range names; Corkscrews; Masks and switches; Recalculation; Circularities; Functions; Logical; Lookup; Financial; Other; Custom; Quality control: Audit; Audit sheet; Structural checks; Arithmetical checks; Financial checks; Model Use; Grouping; Data validation and Dropdown lists; Conditional and custom formats; Sensitivity analysis; Reporting - Reports, Charting, Printing; Automation; Macros; Appendix; Keyboard shortcuts; References; Further information; index. --.
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This second edition of Practical Financial Modelling is vital tool for all finance and management professionals whose work involves the production and development of complex spreadsheets and financial models. The author bridges the gap between the Excel manual and financial literature with a wealth of practical advise and useful tips. The book identifies good practice and highlights those areas which are prone to error and inconsistency resulting in a refreshingly simple approach to building and using financial models suitable for novice and experienced modellers. By using practical worked examples the most effective ways in which problems can be solved are explored. Key themes include: model structure, audit formulae and functions and model use. New to the second edition: Instructive information on Excel 2007 and its enhanced modelling functions and feature; Risk controls in developing and using financial models; Test-yourself modelling problems and applied examples in every chapter; Substantial information related to reporting and charting techniques and an appendix devoted to parallel comparison of how-to in Excel 2003 and 2007. . Instructive information on Excel 2007 and its enhanced modelling functions and features . Risk controls in developing and using financial models . Test-yourself modelling problems and applied examples in every chapter . Substantial information relating to reporting and charting techniques . An appendix devoted to a parallel comparison of how-to in Excel 2003 and Excel 2007.
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TEF
based on 0 review(s)
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W9085379
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