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Microsoft Excel provides numerous free accounting templates that help to keep track of cash flow and other profitability metrics, including the liquidity analysis and ratios template.
Understand the basics of the current ratio, including its use in assessing a company's liquidity and learn how it is calculated in Microsoft Excel.
Financial ratio analysis utilizes a company's financial statements to evaluate its profitability, efficiency, and liquidity by examining the relationships between accounts and line items.
How to Build a Chart in Excel. Businesses and professionals commonly use Microsoft Excel to calculate earnings and financial results, but users can also create chart graphics that complement the data.