I need to know how to automatically populate a cashflow from a table of figures, and for excel to be able to set up a cashflow to the pre-determined limits I predefine.
For instance if I define the cashflow as being say 12 months long and the costs are spread equally over the 12 months, can excel draw up a pre-define cashflow to the length of time I ask for and then populate it?
For instance if I define the cashflow as being say 12 months long and the costs are spread equally over the 12 months, can excel draw up a pre-define cashflow to the length of time I ask for and then populate it?