Hello All,
My organization is preparing for the new fiscal year in July, and as such, I've created a new budget template that each area will fill in to calculate their projected revenues and operating expenses for their area. The excel worksheet I created then summarizes that information in a summary worksheet that organizes their revenues and expenses in an easy to read report.
What I am looking to do is then take each of those reports, and consolidate them into one report to provide to senior management so they can review the total revenues and expenses for the entire organization.
Any suggestions on the easiest way to do this?
Thanks,
Rob
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