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Find out more about free cash flow, the formula for calculating free cash flow, and how to calculate a company's free cash flow using Microsoft Excel.
The pivot table is a collection of tools that Excel uses to create reports from complex, multi-file spreadsheet data. Here's how to generate reports for single tables ...
Here's how to create a pivot table in Excel to slice and dice your data, letting you perform in-depth analyses and spot important trends.
If you wish to create a a Pivot Table and Pivot Chart in Excel, then this detailed article will guide you through the entire process.
A pivot table is a useful tool in data analysis that can give you an overview of your data. We'll show you how to create one in Excel and Google Sheets.
Understanding cash flow statements is important because they measure whether a company generates enough cash to meet its operating expenses.
How to Make a Cash Flow Statement Use this sheet to keep track of the money coming in and going out of your business.
Add together all the cash flows you have put in the spreadsheet to calculate a total. Divide the total by the number of historical entries to calculate the mean average cash flow.