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For preparing detailed monthly cash flow projections for cash planning, business plans, fund raising etc. for 12 months ahead. Includes facilities for rolling forward projections and sensitivity analysis. For very small businesses. Especially useful for businesses in tight cash positions. Helps plan cash requirements, improve control over cashflows and conserve their cash resources. Five other versions also available.
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For preparing detailed monthly cash flow projections for cash planning, business plans, fund raising etc. for 12 months ahead. Includes facilities for rolling forward projections and sensitivity analysis. For mid-size businesses with sales under $3m. Especially useful for businesses in tight cash positions. Helps plan cash requirements, improve control over cashflows and conserve their cash resources. Five other versions also available.
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For preparing detailed monthly cash flow projections for cash planning, business plans, fund raising etc. for 12 months ahead. Includes facilities for rolling forward projections and sensitivity analysis. For small to mid-size businesses with sales up to $2m or so. Especially useful for businesses in tight cash positions. Helps plan cash requirements, improve control over cashflows & conserve their cash resources. 5 other versions also available.
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For preparing detailed monthly cash flow projections for cash planning, business plans, fund raising etc. for 12 months ahead. Includes facilities for rolling forward projections, sensitivity analysis and consolidation. For businesses with sales of $2m++. Ideal for businesses in tight cash positions. Helps management to plan cash requirements, improve control over cashflows and conserve their cash resources. Five other versions also available.
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For preparing detailed monthly cash flow projections for cash planning, business plans, fund raising etc. for 12 months ahead. Includes facilities for rolling forward projections, sensitivity analysis and consolidation. For businesses with sales of $2m+++. Ideal for businesses in tight cash positions. Helps management to plan cash requirements, improve control over cashflows and conserve their cash resources. Five other versions also available.
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Petty Cash Controller is an application that runs in a Microsoft Excel spreadsheet that records cash payments and receipts for a business. Simple to use, it is designed to save time, whilst providing key controls to prevent errors and fraud by employees. It has a range of six built-in reports to give owners and professional accountants all the information and analysis they need, to control expenditure and accurately record transactions.
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PC Cash Register that has some unique features including:
- smart database design providing ingredient of relation
- completely changeable POS printed bill layout
- quick entry of most often used articles in a graphic multi layer grid
- complete set of useful reports all of which are adapted for printing on POS printer (no need for another printer)
- automatically calculates buying price for all articles (including combined articles)
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The MoneyToys - Discounted Cash Flows Calculator applet is designed to provide webmasters with a simple way to add instant online interactivity by providing users with a specialized financial calculator applet which is easily added to a web site.
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Cash register missing money again? Track your sales and missing money. Find which cashier is on the take. Force them to log sales and missing money when they close the till. Cash Register Log encourages you to track your daily sales and balance your cash. Ideal for coffee shop, restaurant, reatail and small business. Sales can be entered by manager or cashier.
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Cash register missing money again? Track your sales and missing money. Find which cashier is on the take. Force them to log sales and missing money when they close the till. Cash Register Log encourages you to track your daily sales and balance your cash. Ideal for coffee shop, restaurant, reatail and small business. Sales can be entered by manager or cashier.
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Create yearly, monthly or weekly cash flow templates in MS Excel. Excel 2000 or higher required.
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Splash Cash Fruit Machine, based on a real UK style fruit machine with a full feature board and a £15 jackpot. As it name suggest's, splash cash is a fruit machine with a water theme!
The game is split into two main parts, the "reel" game and the "feature game".
The reel game is laid out like a standard slot machine. You need to spin a 3-of-a-kind win or climb the feature trail to begin the feature game.
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Print your own money now! Do you need money for playing "Monopoly" or should your kids learn to count and calculate money? Use "Cash Printer" together with your color printer to produce phantasy banknotes, optional front or back.
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Simple, focused and flexible, this MS Excel application allows you to plan cash flow for multiple years ahead, manage bills and deposits, analyze income and expenditure, identify savings opportunities, perform "what-if" analysis, visualize plans. Even if you already have personal finance application package, Cash Flow Planner can provide financial information to support important decisions. Use all the power of Excel to analyze your cashflow
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The virtual gambling machine Groschengrab 2 is a combination of seven different classic german gambling machines from the 70/80´s. Like in those days you put money in the machine and aim to make as much profit as possible. All seven machines are absolute realistic in representation and calculation of the gain. Because of the perfect 3D simulation you have the possibility to look at the machines from any angle of view.