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    • 1. 发明申请
    • Cash flow projection tool
    • 现金流量投影工具
    • US20060047588A1
    • 2006-03-02
    • US10927288
    • 2004-08-26
    • Arun LalPeter HansenSumeet ShrivastavaChristopher HargartenDan Iatco
    • Arun LalPeter HansenSumeet ShrivastavaChristopher HargartenDan Iatco
    • G06F17/60
    • G06Q40/02G06Q40/06G06Q40/12
    • A method of projecting cash flow is disclosed which may include the steps of displaying a position date at which a cash flow position is to be calculated, displaying a beginning cash balance total amount as of the position date, displaying a forecast sales total amount as of the position date, displaying an accounts receivable total amount as of the position date, displaying an accounts payable total amount as of the position date, displaying a projected expense total amount as of the position date and displaying a resulting cash flow position as of the position date. The method may allow the user to edit the amount of at least one of the displayed beginning cash total balance, forecast sales total amount, account receivable total amount, accounts payable total amount and projected expense total amount along with the position date and the method may calculate and display a new cash flow position based on at least one of the edited amounts and edited position date.
    • 公开了一种投资现金流量的方法,其可以包括显示要计算现金流量位置的头寸日期的步骤,显示位置日期的开始现金余额总额,显示预测销售总额 该位置日期,显示所述职位日期的应收账款总额,显示所述职位日期的应付账款总金额,显示所述定位日期的预计费用总金额,并显示所述现金流量位置 日期。 该方法可以允许用户编辑显示的开始现金总余额,预测销售总额,应收账款总额,应付账款总额和预计费用总金额以及位置日期和方法中的至少一个的金额 基于编辑的数量和编辑的位置日期中的至少一个来计算和显示新的现金流量位置。
    • 2. 发明授权
    • Cash flow projection tool
    • 现金流量投影工具
    • US07810713B2
    • 2010-10-12
    • US10927288
    • 2004-08-26
    • Arun LalPeter Birkedal HansenSumeet U. ShrivastavaChristopher HargartenDan Iatco
    • Arun LalPeter Birkedal HansenSumeet U. ShrivastavaChristopher HargartenDan Iatco
    • G06Q40/00
    • G06Q40/02G06Q40/06G06Q40/12
    • A method of projecting cash flow is disclosed which may include the steps of displaying a position date at which a cash flow position is to be calculated, displaying a beginning cash balance total amount as of the position date, displaying a forecast sales total amount as of the position date, displaying an accounts receivable total amount as of the position date, displaying an accounts payable total amount as of the position date, displaying a projected expense total amount as of the position date and displaying a resulting cash flow position as of the position date. The method may allow the user to edit the amount of at least one of the displayed beginning cash total balance, forecast sales total amount, account receivable total amount, accounts payable total amount and projected expense total amount along with the position date and the method may calculate and display a new cash flow position based on at least one of the edited amounts and edited position date.
    • 公开了一种投资现金流量的方法,其可以包括显示要计算现金流量位置的头寸日期的步骤,显示位置日期的开始现金余额总额,显示预测销售总额 该位置日期,显示所述职位日期的应收账款总额,显示所述职位日期的应付账款总金额,显示所述定位日期的预计费用总金额,并显示所述现金流量位置 日期。 该方法可以允许用户编辑显示的开始现金总余额,预测销售总额,应收账款总额,应付账款总额和预计费用总金额以及位置日期和方法中的至少一个的金额 基于编辑的数量和编辑的位置日期中的至少一个来计算和显示新的现金流量位置。
    • 3. 发明授权
    • Using a word processor with accounting data
    • 使用带有会计数据的文字处理器
    • US08032829B2
    • 2011-10-04
    • US12351169
    • 2009-01-09
    • Christopher HargartenMonique H. Ozoux-DeanNing Sun
    • Christopher HargartenMonique H. Ozoux-DeanNing Sun
    • G06F17/00
    • G06F17/2264G06F17/248G06Q30/04
    • A method of transferring data from a financial program to a word processing program to view and modify financial documents in the word processing program is disclosed. The method may entail selecting a template in an accounting program wherein the template has a field related to the selected template, identifying an open field in the selected template that can be filled in with data from the accounting program, selecting data stored by the accounting program that is appropriate to fill in the open field in the selected template, communicating the selected data and the selected template to the word processor and opening a document in the word processing program that displays the selected template and the selected data in the appropriate field as a word processing document.
    • 公开了一种将数据从财务程序传送到文字处理程序以在文字处理程序中查看和修改财务文件的方法。 该方法可能需要在会计程序中选择模板,其中模板具有与所选模板相关的字段,识别所选模板中的可以从会计程序中的数据填充的打开字段,选择由会计程序存储的数据 适合于填充所选模板中的打开字段,将所选择的数据和所选模板传送到文字处理器,并在文字处理程序中打开文档,该文档处理程序将所选择的模板和所选择的数据显示在相应的字段中作为 文字处理文件。
    • 4. 发明授权
    • Using a word processor with accounting data
    • 使用带有会计数据的文字处理器
    • US07487446B2
    • 2009-02-03
    • US10985580
    • 2004-11-10
    • Christopher HargartenMonique H. Ozoux-DeanNing Sun
    • Christopher HargartenMonique H. Ozoux-DeanNing Sun
    • G06F17/00
    • G06F17/2264G06F17/248G06Q30/04
    • A method of transferring data from a financial program to a word processing program to view and modify financial documents in the word processing program is disclosed. The method may entail selecting a template in an accounting program wherein the template has a field related to the selected template, identifying an open field in the selected template that can be filled in with data from the accounting program, selecting data stored by the accounting program that is appropriate to fill in the open field in the selected template, communicating the selected data and the selected template to the word processor and opening a document in the word processing program that displays the selected template and the selected data in the appropriate field as a word processing document.
    • 公开了一种将数据从财务程序传送到文字处理程序以在文字处理程序中查看和修改财务文件的方法。 该方法可能需要在会计程序中选择模板,其中模板具有与所选模板相关的字段,识别所选模板中的可以从会计程序中的数据填充的打开字段,选择由会计程序存储的数据 适合于填充所选模板中的打开字段,将所选择的数据和所选模板传送到文字处理器,并在文字处理程序中打开文档,该文档处理程序将所选择的模板和所选择的数据显示在相应的字段中作为 文字处理文件。