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1.Excel Templates All Programs Complete Set
03/Sep/2003
All Programs Complete Set Gold Edition.Investment-Calc 7.5. Used by thousands of businesses from all over the world it incorporates quick short cuts plus instant annuity factors for Net Present Value and Internal Rate of Return for any investment project analysis.
2.Standard Costing Templates 5.0
03/Sep/2003
Standard Costing Templates for Excel helps you calculate product costs using different costing systems. Standard Costing Templates includes abc system and correct overhead allocation methods.
3.Monthly Financial Ratios Windex (2)
10/Mar/2003
Monthly Financial Ratio Templates - for Excel.Compare two consecutive monthly financial periods with Windex. Calculates all the major financial ratios for comparsion between periods.
4.Lease/Loan Organizer 2006
24/Mar/2006
Time saving Excel add-in organizes up to 100 lease/loan accounts. Calculates and combines current period payments of principal and interest, provides outstanding balances, months remaining, payments remaining and asset book values (S/L or DDB depreciation). Organizes multiple accounts within Excel table templates to provide quick and easy look up/drill down any lease/loan account and report current balances. Transforms all accounts into yearly principal and interest payments schedules based on daily interest to a maximum 20 year repayment period.
5.QuickValue PRO 5.0
10/Mar/2003

QuickValue PRO 5.0 is our latest version (February 2006) of this tried and tested business valuation analysis tool for Excel popularly including current valuation benchmarks which are updated monthly.

6.INVESTMENT-CALC PRO 7.3 IRR & Net Present Values
24/Aug/2001
Contains our complete collection of 40 spreadsheets, calculators, tables and databases for calculating investments returns and present values of future payments/receipts .
7.FastPlan 9.0 Five Year Forecasting
10/Mar/2003
FastPlan PRO 9.0 calculates monthly Five Year Financial Plans & Balance Sheets, Cash Flows which automatically balance at all times. Monthly inputs include capital budget, product volumes, prices, cost of sales, company expenses and loan notes.
8.Business & Investment Statistics
01/Sep/2006
Business Statistics.xls supplies the tools and guidance for statistic calculations in Excel without using any Excel statistic functions.Business and Investment Statistic Calculations with Excel for the beginner in Statistics.
9.Cash Flow Analysis & Forecasting Bonus Pack
10/Mar/2003
Five valuable ready to use Excel applications to you help manage and forecast cash balances - includes monthly cash analysis, receivable and payable schedules, investment project (cash burn) forecasting schedules and company budgeting.
10.Excel Templates For Net Present Value and IRR
10/Mar/2003
Investment-Calc 7.5 provides three Excel workbooks for investment analysis. Used by thousands of businesses from all over the world it incorporates new quick short cuts including instant annuity factor method for Net Present Value and Internal Rate of Return and ready made NPV & IRR cash flow solutions for up to 35 project comparisons.
11.Excel Templates For FASTPLAN PRO Version 9.0
24/Aug/2001
FastPlan PRO Excel templates for quick development of 5 & 10 year financial plans.With FastPlan 9.0 (Five Year Planner) you create a complete set of budgets, profit & loss forecasts, balance sheets and cash flows on a monthly basis for five years.
12.Quick Five Year Financial Plans Plus Ratios
27/Feb/2004
QUICK FIVE AND TEN YEAR FINANCIAL PLAN TEMPLATES FOR EXCEL plus 9 Excel Add-Ins plus complete Training Course.
13.Universal Pricing Calculators
05/Apr/2005
Excel spreadsheet for business finance. Calculates Demand/Price formula
14.Instant Balance Sheets Excel Templates
16/Feb/2006

Instant Balance Sheets provides 12 monthly linked balance sheet templates which always balance. You can quickly and easily create 12 month profit & loss schedules and cash flows (source and application of funds) which automates all the figures in your 12 monthly balance sheets.

15.Inventory Manager PRO For Excel
19/May/2004
Inventory Manager provides manufacturing and operations decision support for inventory management with Excel. Maximum 10,000 inventory items caapcity.
16.Asset Register PRO Bonus Pack For Excel
10/Mar/2003
Asset Register Templates - The complete asset register for Excel.Asset Register PRO. Straight line monthly depreciation calculations for 2,500 assets. Calculates month end net book values, monthly depreciation, cumualtive by each asset class including profit/loss on disposals. Assets can be allocated to any one of 25 classes and up to 100 different locations. With Asset Register PRO you can allocate assets to any one of 25 classes and enter any depreciation period (months) and allocate to any department or location. The software updates book value and cumulative depreciation each month end for each asset and all 25 classes. You can turn the month end backwards or forwards to recalculate past balances or project forward for forecasting. You can look up the location of any asset and total all assets (cost, depreciation, book values) within each location.Business Budgeting PRO helps you prepare a 12 month business budget in double quick time. Includes actual monthly reporting and variance analysis for the current month and cumulative total and variances year to date. Over 30 product rows and 100 expense categories plus cost of sales for each product/service line. * If you are working with the Mac version of Excel, contact us after purchase and we will redirect you to the Mac download version.CURRENCY > You can set the currency to any symbol by opening the Format menu in Excel and selecting Cells from the drop down list, which produces the Format Cells table. Click Currency and then choose the currency you want to work with from the Symbol panel. The download zip contains 4 Excel files.
17.Money Matters Collection 3.0
06/Nov/2007
Money Matters Collection helps you manage your finances.

It provides you with the tools, guidance, Excel spreadsheets, Excel formulas, plus our Loans Management program for Windows, all taken from our library of 50 investment, mortgage and banking programs to protect yourself from being cut to pieces financially in a thousand small ways that banks devise to separate you from your money.

The sub prime crisis means higher interest rates are on their way for all credit accounts, there will be higher and new bank charges and fees, higher investment management fees, lower interest rates on savings account and lower real rates of return on investments. All these predictions must come true as banks and investment houses find ways to recoup their sub prime losses by milking existing good borrowers and good quality accounts.

Interest rate spreadsheets. DonÂ?t get ripped off by your bank when they quietly change your interest rates on a loan or savings account without informing you. Keep a constant check on the interest rate applied to your banking, credit, loan or savings accounts.

Bank balances spreadsheets. Eliminate Â?disproportionate bank chargesÂ? using these bank account spreadsheets. 19 million pounds was returned to personal bank account holders by British banks during 2007 when challenged over disproportionate charging.

Credit card spreadsheets. Banks earn ten billion dollars a year leaching extra fees from credit cards. The fees Â? which are often buried in the small print Â? can be eliminated with following the guidelines in this spreadsheet which helps you maintain the lowest credit card expense.

Check your Mortgage spreadsheets. Computer errors and plain mistakes by lenders can often lead you to paying higher mortgage interest amounts than you should and for longer. Learn how to check your mortgage costs and manage your mortgage repayments to cut thousands of dollars from your expenses.

Check your loan. With Check Loans 2000 you can maintain all the repayment accounts of as many loans as you want in one register, keep track each loanÂ?s remaining balance, number of repayment months and interest charges. (Windows install file).

Rate of Return Spreadsheet. Calculate the rate of return from share investments quickly and simply over a one, two or three year period.

Portfolio Rate of Return spreadsheet. Calculate the annualized rate of return from investing in a portfolio of shares.

Managed Funds spreadsheet. Save $200,000 over a lifetime investments in managed funds. Â?High management fees have no correlation with performanceÂ? (FSA). This spreadsheet shows you how to improve your returns by $200,000 over a lifetime investments in managed funds.

Buy to Let Spreadsheet. Buy to Let can provide real returns if the starting conditions and rental terms are just right. Use this spreadsheet to work out your rate of return from Buy to let under any set of assumptions.

Financial Improvement spreadsheet. Combine all the above to establish the annual amounts of money that can be prevented from leaching away from your accounts and combine with improved returns from investments using guidelines set out in the Investments spreadsheets and establish your Financial Improvement Program. The amounts of money extracted from banking, credit card and mortgage accounts and from managed investment accounts approaches tens of billions of dollars per annum in the United States. Take your money back into your own hands using the ready to claim spreadsheets supplied in this Money Matters Collection.

The download (zip) provides three separate files. Windows program (Check Loans, 7MB file), plus Excel workbook 1 provides the guidance, formulas, explanations and working tutorials. Excel workbook 2 provides the spreadsheets to simulate and optimize your accounts.

18.Lease/Loan Organizer
29/Mar/2006
Time saving Excel add-in organizes up to 100 lease/loan accounts. Calculates and combines current period payments of principal and interest, provides outstanding balances, months remaining, payments remaining and asset book values (S/L or DDB depreciation).
19.Funding Plan PRO 10 Year Plan for Excel
10/May/2007
Funding Plan PRO for Excel provides the perfect financial planner for any 10 year projection.You need no accounting knowledge.You can also use Funding Plan PRO to create quick financial models of your business. Variables can beadjusted anyway you want and as you know Excel will translate any input change instantly into the appropriateoutcome.The sequence of spreadsheets include the following:Monthly equity plan (Common share issues & financing).Loan note amortization (Loan finance).Monthly Fixed asset depreciation schedules.Five depreciation classes (any useful life periods from zero upwards).Sales plan incorporating unit volume projections, unit prices andcost of sales. You can vary volumes and prices by any percentagevalue control to produce best case, expected case and worst case projections.Company expenses - straightforward monthly expense templates. Expenses are divided into sixseparate categories (Personnel, G&A, Marketing.....). Category expenses are summarized in the P/L schedules.Working capital variables include Days sales outstanding, Days inventories outstanding,Percentage payable to sales. You can change any assumption to produce best, expected andworst cases again.Your monthly forecasts are converted into 10 year proft/loss forecasts, complete balance sheets, cash flows (source and application of monthly funds) and management summary. Loan interest charges and reducing balances are incorporated into the profit/loss and balance sheets.The management summary provide a company valuation based on your selected EBITDA multiiple.The download zip file contains a Dollar version, a Euro version and a Tutorial version.
20.Excel 2007 US Business Leads Database
21/Feb/2008
Our Excel 2007 Business leads Database supplies over 10 million US sales leads contacts and addresses sorted in to 51 States Excel 2007 files (2 files for California). Excel 2007 has expanded capacities from 65,000 maximum rows in Excel 2003 to one million for 2007, and this has allowed us to create this huge database of sales leads in Excel. Users can use the database to import addresses and contact names into Word 2007 for targeted mail label prints.

Database records can be sorted using any combination of the following available fields: SIC code (sort and combine any six digit code), Company sales size (use Excel custom sort Â?greater thanÂ? value located in the Annual Sales column) , City (use Excel Text filters), Zip code, Credit score, and/or Number of employees.

Address fields include first and last contact names, job titles, company names, street address, city, county, state, zip code.

Every Business contacts file provides a quick scroll down selector which enables users to lookup and find the exact SIC code number for a selected industry sector quickly. The lookup SIC code can be used as a primary sort & filter field. Sorting sales leads by SIC numbers (i.e. sectors) is easy in Excel and this can produce highly targeted mailing lists.

Users can attach sorted contact names, addresses and zip codes in Excel 2007 to a Word 2007 Mail Merge file. The Sort dialog in Word Mail Merge can filter and select your address lists at one or more levels to provide just the right sales targets.

If your firm operates outside the USA you can filter the 10 million sales leads information to supply contact names and addresses of importers, distributors and sales agents in any one of the 51 States.

The maximum business contacts list size is one million rows, so you must have Excel 2007 to list all contacts.

21.Web Visitor ID
06/Sep/2007
Web Visitor ID - Web Site Marketing Intelligence.

Web Visitor ID is an internet program that will report IP addresses and identities of all visitors to your website, the keywords they used, how long each visitor stayed, their location (City, Country and website) and their name or ISP location.

FULL INTEGRATION WITH MICROSOFT EXCEL. You can download all your visitor and keyword reports into Microsoft Excel.

You will gain the following marketing intelligences from Web Visitor ID:

Know your website visitors, how long each stays and where they come from.

Know all IP addresses, ISP or names of visitors, locations and web site addresses.

Know why visitors arraived at your website (individual visitor keywords reported).

Know which visitors stayed longest and why.

Know which visitors returned, how often and how long.

Detect unique visits when ID stored in your own personalized database (Memory) lands on your website.

Visitor performance analysis from all leading search engines.

Web Visitor ID will report to you whether and how often Google visits your website, whether the SEC, bank, investors, or prospects have visited and you can download reports containing visitor IP addresses, visit times, hits, locations including cities and countries.

You can use Web Visitor ID to optimize your website to give peak performance. Test different landing pages and check the visitor analytics in Web Visitor ID to determine the best performing pages.

Web Visitor ID is a subscription based service. Purchase a trial 6 months service from this page and gain 50% off the regular price.

When you purchase please wait for us to create your webvisitor id account. We will send you an email containing your login username and password within 24 hours (sooner we hope).

Despite the information provided below, the download file is a simple Excel file containing instructions. We will create your logins and email your password as quickly as possible.

22.Complete Excel Templates 2008 Collection
26/Nov/2007
Our Complete Templates 2008 Collection provides over150 business finance spreadsheets with new Excel productivity addÂ?ins and Excel learning programs including VBA routines included. Save a total $2,400. <P> Investment-Calc 7.5 PRO for Present values and internal rate of return of periodic cash flows, future values of money flows, present values compounded between dates, present values of a recurring amount, present value of periodic investments, analysis of capital projects. <P> Project investment analysis: Input volumes, pricing, direct and variable costs,plus adjustments for sensitivity levels, includes risk analysis, vary debt/equity ratios, vary tax rates, calculate EBITDA, operating and after tax profits, average annual income, ROIC, net present values & IRR. Compare up to 30 projects. <BR> PLUS: Project cash flow analysis workbook. <BR> Financial modelling workbook. <BR> Project valuation analysis workbook. <P> 12 month budgeting spreadsheets for 1-10 departments. Consolidates individual budgets year to date and provides monthly variance analysis. <P> Asset Register PRO. Straight line depreciation register for 10,000 assets. Assets may be allocated to any one of 25 classes and 25 locations. Depreciation and book value for each class and locations are recalculated at the end of each month. <P> Standard Costing templates (complete collection). <P> QuickValue 2008. Quick valuation of any business, plus synergy valuation of any acquisition, plus EBIT valuation, plus 2008 value benchmarks. <P> Financial ratio analysis. Balance sheet, income statement and cash flow analysis calculates 50 key ratios, including operating ratios, shareholder returns, working capital, debt, sales days, inventory turnover, and liquidity. Includes Economic Value Added results (EVA). <P> FastPlan 9.16 for five year financial plans. Develop your 5 year monthly budgets and FastPlan transfoms these into balance sheets, income forecasts and cash flows. <P> Instant Balance Sheets 2008 - 12 months quick monthly balance sheets and cash flows from your monthly forecasts. <P> Cash Flow Forecasting Collection. Using a quick copy/paste (or export from Quicken, SAP etc) into our accounts receivable and payable spreadsheets you can see how your cash is going to work out for 90 days ahead. <P> Everything is so easy with Excel. Excel links all your receivable and payable accounts together to provide a day by day cash flow summary. <P> If you need to calculate your cash burn each day for 150 days ahead use the cash forecasting spreadsheet. <P> Plus multi user Loan Amortization Manager handles up to 1000 loan/lease repayment amortization schedules. <P> Plus private and secure E-Mail Address Organiser PRO with GlobalBiz Active Buyer Addresses. <P> Zip file download or select CD edition shipping. <P> You can download a small zipped file containing 12 bonus excel files/workbooks/templates immediately after purchase including Balanced Scorecard, Capital Project Appraisal, Excel Amortization, Source & Application of Cash flows, Financial Models. THESE ARE NOT OUR PRINCIPAL FINANCIAL APPLICATIONS - SEE BELOW: <P> LINKS to DOWNLOAD all the files listed above will be available to you VIA EMAIL NOTIFICATION from us WHEN we see your order arrive. <P> Despite the notice below that "You will be able to download the product immediately after ordering!", there will be a small time delay in receiving the link to all Excel files as explained above.
23.Google Docs Excel Templates Collection
02/Jan/2008
With our new Google Docs Excel templates you can create, share and update business and financial spreadsheets interactively online with your colleagues. Users of your Google Docs account can be out of office, on the road in fact anywhere and they will have exactly the same access to common work spreadsheet document as everyone else.

Plus the Excel File Size Reducer add-in! Google Docs spreadsheets are limited to uploading files of 1MB or less. The Excel File Size Reducer reduces your Excel file sizes down to the very minimum possible, in some cases by a factor of 10. This allows otherwise impossible uploads to Google Docs to work with the greatest of ease.

Our new Google Docs Excel templates plus the Excel File Size Reducer for your own files will make your Excel 100 times more productive than before.

Our Google Docs Excel Templates include:

GoogleDocsOrdersReport. Interactive daily confirmed order updating daily by region, customer or sales exec. Combined orders results shared online with authorized colleagues.

GoogleDocsSalesForecast. Interactive weekly sales forecasts by region, customer or sales execs with pipeline probabilities. Combined sales forecast reporting confirmed orders and pipeline totals.

GoogleDocsResultsReport. Interactive monthly results updated online by region or profit center. Combined results shared online with authorized colleagues.

GoogleDocsEnquiriesReport. Interactive daily entry and sharing of all sales enquiries. One combined enquiries report created and shared by all members. Sort, filter enquiries report by geographic, sales exec or product type.

GoogleDocsCollectionsReport. Daily updating and sharing of accounts collection report for action by account managers. Actions and feedbacks reported online.

GoogleDocsCashReport. Interactive cash flows by region or profit center. Consolidation of cash flow inputs.

GoogleDocsQuickBudget. Interactive 12 months budgeting for collaborative inputs and sharing calculations of combined budget results plus added value per employee, gross margins. GoogleDocsQuickNPV-IRRCashFlows. Interactive sharing of net present value and IRR tables and quick calculations.

GoogleDocsNewProjectEvaluation. Interactive sharing of new project forecasts online. ROIC, NPV and IRR calculations. Collaboration between members enhanced.

GoogleDocsPromoPricing. Interactive collaboration and sharing of price/demand tables and charts. Use as a shared learning tool as well.

GoogleDocsCostingTemplates. Interactive sharing of costing calculations. Includes standard costs, cost drivers, ABC exercises. Use as a shared learning tool as well.

GoogleDocsInstantFinancialPlan. Interactive 12 months income/costs forecast, creates online balance sheets, income statement and cash flow forecasts. Use in collaborative mode with authorized persons (Select authorizations within your Google Docs account).

GoogleDocsOutofOffice. Wherever your personnel are they can report out of office absences, date out, due back, locations to share with other colleagues.

GoogleDocsIntelligenceReport. Wherever your personnel are they can use this template to report information and intelligences of potential value to your organization with instant online sharing. Excel filters highlight subject topics.

GoogleDocsNotifcations. Interactive sharing information with colleagues. Updating and collaborative information pooling.

Plus Excel File Size Reducer Add-In. The Essential file size reducer if you work with Google Docs spreadsheets.

You can download a combined zip file now or order the CD edition.

24.Complete Set Financial Excel + Amortization CD
05/Feb/2008
Excel Financial Gold Edition + Amortization Edition combined.
25.Complete Excel Collection - 2008 Edition - Special
05/Jun/2008
Complete Excel Collection - Special - Save $289.05 compared with regular retail price of $339.00. Time limited. <P> Special price..for the list of Excel financial software supplied with this Complete 2008 Edition copy this link into your browser: <P> http://www.regnow.com/softsell/nph-softsell.cgi?items=5833-40 <P> For a screen image, copy this link into your browser: <P> http://globaltechnet.shuttlepod.org/Default.aspx?pageId=112513 <P> When you order, a small download file is available immediately. Please wait to receive a separate email from us advising your login password and URL link to download all 2008 Excel files. <P> Zip files downloads or select CD shipping <P>
26.Management Add-Ins For Excel Collection (5)
31/Jul/2006
Five Management Excel Add-ins Collection.Our Excel add-ins Collection provides you with ready made solutions for (1) forecasting sales, demand, prices or indexes, (2) analyzing investment returns (net present worth and internal rate of return/effective interest rate return), (3) optimizing share portfolios with linear programming solutions, (4) optimizating materials and resources for business operation with linear programming solutions, and (5) materials requirements planning spreadsheets. These add-ins plus the instructional workbooks which accompany the Collection provide you with powerful new tools for effective management planning.Forecast.xla.Investment Economics.xlaPortfolio (optimization).xlaProcess Flow (materials and resources).xlaMaterials Requirements Planning.xla
27.CheckMy Bank 2008
28/May/2008
CheckMy Bank 2008.xls provides a quick way to check and verify compound interest calculations within overdraft bank accounts for 12 consecutive monthly periods and recalculate interest when bank charges and/or interest rates are disputed. <P> Each of 12 monthly statement Excel spreadsheets links to its own WorkSheet which sums daily credits and debits and calculates daily and monthly interest charges which are carried forward so that the entire 12 months period is linked to monthly compounding interest calculations. <P> With CheckMy Bank its really easy to recalculate account balances and overdraft interest when unwarranted bank charges or fee issues arise in forms that are presentable to your bank. <P> You can easily use this software as an extra consulting tool to assist clients in dispute with their banks or keep track of your own bank accounts interest calculations. <P> This 26 spreadsheet linked Excel workbook provides for any series of bank holidays during 2008, you vary credit limit settings, clearing days and interest rates. <P> 400 rows provided for daily credits and debits per calendar month x 12 months x 12 monthly interest worksheets. Positive and Negative interest credits/debits. Sums all bank charges and interest. Null deposit clearing at weekends and bank holidays. <P> Download or CD edition.
28.Budget Presentation Spreadsheets for Excel 2007
31/Mar/2007
Budget Presentations with Charts for Excel 2007.Excel 2007 charts have a really great new look?their board room qualityenables your budget presentations to be really sharp.Our new Budget Presentation Spreadsheets helps you prepare your twelve monthBudget with sales forecasts, cost of sales, profit margins, semi variable expenses, fixed expense budgeting, monthly payable, receivables with detailed cash flow and back order schedules plus sample Excel 2007 presentation charts.This workbook and charts can be expanded or modified just as you want it to look with open spreadsheets, no password protection.
29.Five Keys To Business Success (Excel Add-Ins)
31/Jul/2006
Excel Add-in Collection plus Instructional Workbooks.New Excel add-ins provide ready made solution models for forecasting, investment economics, portfolio optimization, business resource optimization and material planning.Forecasting.xla. Produces fast and accurate time series values using moving averages, exponential smoothing, regression and exponential smoothing with a trend (double exponential smoothing). Investment Economics.xla. Produces financial models to determine the time value of money returns from your business investment projects. Provides Net Worth & IRR calculations, pay back. Portfolio Allocation Optimization.xla. ptimizes Optomise holdings for any number of securities using LP (linear programming) optimization software.Process Flow (Materials and Resources).xla. Plan for maximum profits, locate resource bottlenecks, defines current constraints on materials or resources on hand using Process.xla. Process.xla gives you the key for business success using LP (linear programming) optimization software to calculate the maximum profit process flow. MRP.xla.. The MRP add-in create dynamic materials requirement planning (MRP) spreadsheets and tables that optimizes the least cost solution for users' manufacturing requirements. Including material purchasing, defines minimum inventory levels, least cost production scheduling.Free Giveaway. Business Statistic templates. Instant Averages, Moving Average, Mean, Median, Mode, Range, Frequency, Seasonality Trends, Correlation, Variance, Regression formula, Significance (T-Test), Sigma and Six Sigma values, Least Squares, Best Fit Forecasting.
30.Excel Budgets - Master Budgeting PRO 4.6
12/Mar/2003
Excel workbook containing 20 budgeting and reporting spreadsheets consolidated into a Master YTD report
Related Downloads
Excel Templates All Programs Complete Set
Standard Costing Templates 5.0
INVESTMENT-CALC PRO 7.3 IRR & Net Present Values
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Monthly Financial Ratios Windex (2)
MicroAdobe DVD CD Burner
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Business & Investment Statistics
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