Home |
Search |
Today's Posts |
#1
![]() |
|||
|
|||
![]()
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! |
Thread Tools | Search this Thread |
Display Modes | |
|
|
![]() |
||||
Thread | Forum | |||
Cash Flow Distribution/IRR Modeling | Excel Discussion (Misc queries) | |||
projected cash flow and actual on same sheet | Excel Discussion (Misc queries) | |||
How do i create an automatic monthly cash flow from lists of cost. | Excel Discussion (Misc queries) | |||
Cash Flow Set-Up | Excel Worksheet Functions | |||
Cash Flow Analysis | Excel Discussion (Misc queries) |