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Omalley
 
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Default Cash Flow

I have read a lot, but still can't figure out the best way to do this:

I have 60 cells aligned horizontally: (Jan-05 to Dec-09)
Above the dates I have a project cash flow.

First I need to report the date at the first occurence of cash flow (a
negative number).

Secondly, I need to report the date at the last occurence of cash flow
(a positive number).

This is so I could set up for the XIRR function. The problem is that
the cash flow appears in various dates and durations based on the
project parameters, so I can't lock the XIRR calc to specific cells.

Any help or guidance is greatly appreciated!

 
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