Excel 2007 How to Create a Cash Flow Forecast Guide - Level 1

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Uploaded by on Feb 16, 2011

Provides a step by step guide on how to create a Cash Flow Forecast in Excel 2007.

This covers the following:

Select Multiple Cells
Change Cell Formats
Resize Columns and Rows
Adjust Printing Preferences
Save Excel files
Carry out AutoSum and Enter Bespoke Formulas
Use Auto Fill and Copying by Dragging
Add Different Types of Borders
Add Colors, Font Size and Text Orientation
And Much More...

Visit me at Spreadsheet Republic for more Guides, Videos and Spreadsheet Templates.

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