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.
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Jonathan Swan's work has encompassed a range of consultancy and development assignments with investment banks and others in the City and throughout Europe. He is currently Director of Training at Operis Group plc, the UK's leading independent financial modelling consultancy.
Get the best out of Excel when planning, modelling or preparing financial budgets.
This second edition of Practical Financial Modelling is a 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 advice and useful tips.
Now includes:
* 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.
Jonathan Swan, Training Director at Operis TRG, London, draws on years of teaching and consultancy experience to identify good practice and to highlight 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 he explores the most effective ways in which problems can be solved. Key themes include: model structure, audit, formulae and functions, and model use.
|Get the best out of Excel when planning, modelling or preparing financial budgets.
This second edition of Practical Financial Modelling is a 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 advice and useful tips.
Now includes:
* 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.
Jonathan Swan, Training Director at Operis TRG, London, draws on years of teaching and consultancy experience to identify good practice and to highlight 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 he explores the most effective ways in which problems can be solved. Key themes include: model structure, audit, formulae and functions, and model use.
„Über diesen Titel“ kann sich auf eine andere Ausgabe dieses Titels beziehen.
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Softcover. Zustand: As New. This second edition of Practical Financial Modelling is vital tool for all finance and management professionals whose work involves the production an 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. Now includes: 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. 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. * Updated to include how-to-do-it in the new Excel 2007 * Now covers Excel's in-built audit functionality, and reporting and charting techniques * How-to approach to financial modelling and budgeting, with numerous worked examples. Artikel-Nr. 32c18ab4-0804-49c0-af06-9db218b8aff7
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Paperback. Zustand: Very Good. 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. The book has been read, but is in excellent condition. Pages are intact and not marred by notes or highlighting. The spine remains undamaged. Artikel-Nr. GOR003484076
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Anbieter: Bahamut Media, Reading, Vereinigtes Königreich
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Zustand: Fair. This is an ex-library book and may have the usual library/used-book markings inside.This book has soft covers. Clean from markings. In fair condition, suitable as a study copy. Please note the Image in this listing is a stock photo and may not match the covers of the actual item,700grams, ISBN:9780750686471. Artikel-Nr. 6052937
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Zustand: Very Good. This book is in very good condition and will be shipped within 24 hours of ordering. The cover may have some limited signs of wear but the pages are clean, intact and the spine remains undamaged. This book has clearly been well maintained and looked after thus far. Money back guarantee if you are not satisfied. See all our books here, order more than 1 book and get discounted shipping. . Artikel-Nr. 7719-9780750686471
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