This Excel add-in has 500+ high-performance functions and is a comprehensive toolkit for business planning and analysis. It is designed to make financial models such as business plans and budgets faster to build, less error-prone, and easier to understand and maintain. It does this through integrated families of functions, in particular for budgeting and cash flow projections. One of the features is its day count accuracy when used for projecting cash flows.It has specific interfaces for both Excel 2003-2010, as well an expanded utility set that includes number formatting and a time chart wizard, allows partial view of C++ code via the Function Finder, and includes our consolidation tool Cashflow Administrator.
What is new in this release:
Version 1.60 has a new Workbook Difference Utility and an expanded set of Quick In-Place Examples.