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Raw Data Printer Component 2.0
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Cash reconciliation by workstation, drawer, or clerk-assigned till. Instant, on-the-fly access to inventory, customer, vendor, and clerk databases. Record paid-outs and payments on credit accounts. Lookup customers by name, phone, account number or unique code. Track multiple ship-to addresses, or attribute sales to family members, employees, vehicles, jobs, etc. Instant access to complete transaction history by customer. Use powerful price tables
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Easy to setup, and very easy to learn POS system with powerful features. Point-of-Sale, Quote, Invoice, Receipt, Packing List, Customer Sales History, Inventory, Bar Code Scan, Product Word Search, Customer Phone Search, Receipt Printer with open CashDrawer, Print Labels, Mailing Lists, Various Reports, Download Reports to Excel, Network, Security and Touch-Screen POS option. - Long-term free evaluation period to make sure you are in business.
quick books, small business, orders, sales, retail, quote, bookkeeping, reports, touch screen, business accounting, wholesale, inventory, point of sale
Cash Flow Analysis Calculator helps you with capital budgeting by simultaneously evaluating the cash flow series of 14 projects against 5 different discount rates per project. For each of 14 cash flow series, Discounted Cash Flow Analysis Calculator performs the following calculations: Initial Investment, Smallest Cash Flow, Largest Cash Flow, Cash Flow Range, Average Cash Flow, Number of Cash Flows, Undiscounted Sum of Cash Flows, Internal Rate
period, term, mirr, cash flow analysis, financial, payback, discounted cash flow, cashflow
cash flow projections for cash planning, business plans, fund raising etc. for 6 months ahead. Includes facilities for rolling forward projections and sensitivity analysis. For smaller businesses. Especially useful 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. Based on user`s assumptions, Cashflow Plan generates
cash flow, project, finance, business plan, planware, forecast, excel, business, plan, cashflow
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 management to plan cash requirements improve control over cashflows and conserve their cash resources. Five other versions also available. Based on user`s assumptions, Cashflow Plan generates
cash flow, project, finance, business plan, planware, forecast, excel, business, plan, cashflow
cash positions. Helps management to plan cash requirements improve control over cashflows and conserve their cash resources. Fiver other versions also available. Based on user`s assumptions, Cashflow Plan generates fully-integrated projections (P&Ls, cashflows, balance sheets, ratio analyses etc.) on a monthly basis for the year ahead. Running as an Excel template, Cashflow Plan contains 150+ special menu options and buttons, 20+ proforma reports
cash flow, project, finance, business plan, planware, forecast, excel, business, plan, cashflow