Prentice Hall, 2010. - 384 pages. 2nd Edition
Designed for finance directors, finance managers, analysts and decision-makers, Mastering Financial Mathematics in Microsoft Excel, is a practical guide to applying Excel for solving mathematical problems.
Financial mathematics can be applied more quickly and easily in Excel than any other package, there is therefore demand for a book in this field.
Will improve financial managers’ abilities with Excel and provide them with solutions to their financial problems.
Highly practical: includes a library of templates, exercises and solutions as an illustration of the methods.
Part of the highly respected and recognised Mastering series.
The second edition will be updated throughout. Specific amendments: Excel 2007 and Windows Vista, Addition of a glossary of key terms, Functions list in English and Euro languages, Continuity check on all formats, layouts and charts, More worked examples, Addition of exercises at the end of each chapter to help build models.
Designed for finance directors, finance managers, analysts and decision-makers, Mastering Financial Mathematics in Microsoft Excel, is a practical guide to applying Excel for solving mathematical problems.
Financial mathematics can be applied more quickly and easily in Excel than any other package, there is therefore demand for a book in this field.
Will improve financial managers’ abilities with Excel and provide them with solutions to their financial problems.
Highly practical: includes a library of templates, exercises and solutions as an illustration of the methods.
Part of the highly respected and recognised Mastering series.
The second edition will be updated throughout. Specific amendments: Excel 2007 and Windows Vista, Addition of a glossary of key terms, Functions list in English and Euro languages, Continuity check on all formats, layouts and charts, More worked examples, Addition of exercises at the end of each chapter to help build models.