Data Analytics Using Caat Tools-Ms Excel
Data Analytics Using Caat Tools-Ms Excel
USING CAAT
Feature Description
For Windows: Use the Start
button and search for 'Excel'
Recent
Displays a list of recently For macOS: Find Excel in the
opened workbooks for quick
Documents
access Applications folder
Using the Excel Start Screen
Offers various templates for Access recent documents
Templates
creating new workbooks
and templates
Option to start a new Create new workbooks from
New Workbook
workbook from scratch or a scratch or templates
Creation
template
NAVIGATING EXCEL: SCROLLING AND ZOOMING
TECHNIQUES
Scrolling Techniques
• Use scroll bars to navigate through worksheets
• Scroll wheel on mouse allows vertical movement
Zooming Techniques
• Adjust worksheet view with zoom slider
• Ideal for managing large datasets
Navigating Excel: Switching
Between Worksheets and
Workbooks
Navigati ng Excel: Selecti ng
Cells, Ranges, and Columns
Selecting Individual Cells
Click directly on the cell to highlight it.
Choosing a Range of Cells
Click and drag to cover the desired cells.
Selecting Entire Columns
Click the column header, such as 'A' for the first column.
Selecting Non-Adjacent Cells/Ranges
Use 'Ctrl' (Windows) or 'Command' (macOS) while selecting each
cell or range.
DATA ENTRY AND EDITING IN
EXCEL
DATA ENTRY AND EDITING IN
EXCEL: METHODS OF DATA
ENTRY
Manual Data Entry
• Direct typing into Excel cells
• Useful for individual financial transactions
Copy-Paste Method
• Copying from external sources like PDFs
• Ensures alignment with Excel's layout
Data Import Options
• Importing from CSV files or databases
• Ideal for large datasets or external systems
Data Entry and Editing in Excel: Data
Validation and Error Checking
Data Entry and Editi ng in
Excel: Editi ng and
Deleti ng Data
Editing Data in Cells
• Double-click the desired cell
• Modify the data as needed
• Press “Enter” to save changes
Deleting Data
• Select the cell, row, or column
• Press the “Delete” key to remove
AUTOFILL AND FLASH FILL FOR
EFFICIENT DATA MANAGEMENT
AutoFill and Flash Fill for
Effi cient Data Management:
Uti lizing AutoFill for Series
and Patt erns
AutoFill and Flash Fill for Effi cient
Data Management: Introducti on to
Flash Fill for Data Transformati on
Introduction to Flash Fill
An automated tool for data transformations in Excel
Useful for financial data extraction and reformatting
Step-by-Step Guide
Enter the desired pattern for data transformation
Activate Flash Fill with shortcuts or through the Ribbon
Watch as Excel applies the pattern to your data
Practical Example
Extract first names from a list of full names using
Flash Fill
Data Formatting for Financial
Analysis
Data Formatti ng for Financial
Analysis: Importance of Data
Formatti ng
Significance of Proper Data
Formatting
Boosts readability and
interpretability in financial
analysis
Benefits of Clear Data
Presentation
Organized data aids
stakeholder comprehension
and insight extraction
Highlighting Critical Data Points
Draws focus to vital
information and trends
Data Formatti ng for Financial
Analysis: Formatti ng Options
in Excel
Font Customization
Select readable fonts for clarity
Font group adjustments for text
appearance
Number Formats
Display numbers with precision
Includes currency, decimals, symbols
Alignment for Readability
Position data neatly within cells
Options for text alignment and
orientation
Cell Fill for Emphasis
Use background colors to highlight data
Create visual distinctions in cells
Data Formatti ng for Financial
Analysis: Conditi onal Formatti ng
Select the Data Range
Choose cells for conditional
formatting application
Access Conditional Formatting
Options
Find in 'Home' tab on the
Ribbon
Set the Rule
Decide on rule type (e.g.,
highlight cells above a value)
Define the Rule Parameters
Specify criteria and formatting
details
Example Use Case
Highlight sales figures above a
threshold
UNDERSTANDING DATA TYPES AND CELL
REFERENCES: DIFFERENTIATING DATA TYPES
Text Data
Includes non-numeric and non-date information
Examples: names, addresses, descriptions
Numeric Data
Used for mathematical operations
Types: whole numbers, decimals, percentages
Date Data
Specific type of numeric data for calendar dates
Other Data Types
Specialized types like currency, percentages
Boolean and error values also included
Understanding Data Types and
Cell References: Cell References
Summary of Microsoft
Excel and Data Formatti ng
Mastering Excel for Financial
Analysis
Formatting, Tables, and Formulas
Agenda
•Title Slide
•Introduction to Excel Tables
•Utility of Tables for Chartered Accountants
•Formatting Steps and Image
•Merging and Centering Cells
•Using Borders and Gridlines
•Adding Data to a Table
•Resizing and Formatting Tables
•Formulas in Excel
•Summary of Chapter 2
•Historical Perspective and Relevance of Data
Consolidation
•Totalling Across Multiple Sheets
Learning Objecti ves -
Chapter 2
Accurate Data Representation in Finance
Understanding its importance in financial spreadsheets
Number Formatting Skills
Applying formats for currency, percentages, and decimals
Date and Time Precision
Conditional Formatting for Visualization
Enhancing Readability with Alignment
Creating Professional Headers
Consistent Cell Styles and Themes
Optimizing Data Presentation
Using Borders and Gridlines
Efficient Data Management with Tables
Introducti on to Excel Tables
Autofit Columns
• Use the 'Format' menu in the 'Home' tab
for Content for autofitting
Length
Using Borders and Gridlines
Selecting Cells for Border Formatting
Choose cells to highlight with
borders
Access 'Home' tab for formatting
options
Applying Borders to Cells
Use 'Borders' dropdown for style
selection
Gridlines for Cell Differentiation
Toggle gridlines in 'View' tab for
clarity
Creati ng and Managing Tables
Essential for organizing and analyzing data Intrinsic functionalities for data manipulation
Structured information with defined headers Guidance for adept table management in
spreadsheets
Creati ng a Table: Image and
Explanati on
Adding Data to a Table
Seamless Data Addition
Process
Initiate by typing in the last
table row
Automatic table expansion
for new data
Step-by-Step Data Entry
Navigate to the table's end
Begin typing to include a
new row
Filtering and Sorti ng in Tables
Essential Data Analysis Tools
Tables with filtering and sorting
capabilities
Facilitate extraction of insights
Filtering Data
Use dropdown arrow on column
header
Select criteria to refine data
display
Sorting Data
Click sort icon on column header
Arrange data in desired order
Total Row in Tables
Selecting the Table
Activate the table to enable total row addition
Accessing Table Design
Navigate to the 'Table Design' tab for options
Enabling Total Row
Tick the 'Total Row' checkbox to add a new row
Inserting Calculations
Click the desired cell in the Total Row for calculations
Choosing Calculations
Select from sum, average, etc., via the dropdown
Resizing and Formatti ng Tables
► Adjusting Table Dimensions
► Click on the table to access
resize handles.
► Easily modify the table size to fit
your needs.
► Enhancing Table Appearance
► Utilize the 'Table Design' tab for
style options.
► Choose from a variety of styles
to improve readability.
► Step-by-Step Formatting Process
► Select the table and adjust size
with handles.
► Apply styles from the 'Table
Design' tab.
Converti ng Tables to a Range
► Excel Table Conversion Flexibility
►Capability to revert a table back to
a range format
► Step-by-Step Conversion Process
►Select the table to initiate
conversion
►Access 'Table Design' tab for tools
►Use 'Convert to Range' button for
action
►Confirm conversion through
prompt
Named Ranges Within Tables
Enhancing Data Analysis
Named ranges streamline
complex formulas
Facilitate efficient data analysis
and calculations
Creating a Named Range
Select cell range for naming
Use 'Formulas' tab and 'Create
from Selection'
Opt for 'Top row' with headers
Confirm with 'OK' to establish
named range
Figure Reference
Defined names group illustration
Formulas in Excel
Essential Excel Proficiency
Formulas and functions are
crucial for accounting and
finance.
Streamlining Data Tasks
Key operations enhance
effective data processing.
Basic Arithmeti c Operati ons
Introduction to Basic Arithmetic in
Excel
Essential for calculations within
formulas
Begin formulas with equals sign (=)
Core Mathematical Computations
Addition (+) for summing values
Subtraction (-) to deduct values
Multiplication (*) for product
calculation
Division (/) to divide values
Cell References in Formulas
► Consistent Calculations with Cell References
► Use A1, B2 for specific cells
► Relative references like A1 adjust when
copied
► Absolute references like $A$1 remain fixed
► Types of Cell References
► Relative References: =A1 + B1
► Absolute References: =$A$1
► Mixed References: =$A1
► Dynamic Calculations in Formulas
► Referencing cells allows for automatic
adjustments
► Mixed references combine relative and
absolute aspects
Summary of Chapter 2
Number Formatting
Essential for accurate financial data
representation
Includes currency, percentages, and
decimals
Date and Time Formatting
Crucial for precise accounting
records
Detailed guidance on formatting
Conditional Formatting
Cell Alignment and Orientation
Merging and Centering Cells
Cell Styles and Themes
Formatting Columns and Rows
Using Borders and Gridlines
Learning Objecti ves - Chapter 3
Comprehensive Data Totalling
Use cell references to total data from
multiple sheets.
Excel's Consolidate Tool
Combine data from various sheets
for in-depth financial analysis.
Mathematical & Statistical Functions
Learn functions like SUM, AVERAGE,
MIN, and MAX.
Text Manipulation Functions
Master CONCATENATE, LEFT, RIGHT,
and LEN for text data analysis.
Date & Time Calculations
Handle functions like TODAY, NOW,
EOMONTH, DATEDIF.
Specialized Financial Functions
Practical Application
Introducti on to Data
Consolidati on
Essential Financial Analysis Techniques
Consolidation of data from multiple sources is key.
Excel is a vital tool for financial professionals.
Streamlining Data Processes
Excel techniques enhance decision-making.
Professionals gain insights from diverse datasets.
Module Focus
Exploration of totalling across sheets and key
functions.
Indispensable for analysts and accountants.
Historical Perspecti ve and
Relevance of Data Consolidati on
Historical Background of Data Consolidation
Originated from traditional accounting practices with
ledgers and manual records.
Required extensive efforts to compile data from different
sectors.
Transformation with Spreadsheet Software
Excel introduced in the late 20th century, changing
financial reporting.
Enhanced efficiency and accuracy in data analysis.
Modern-Day Economic Implications
Globalized economy demands data consolidation from
varied sources.
Crucial for informed decision-making in organizations
worldwide.
TOPICS AT-A-GLANCE FOR DATA
CONSOLIDATION
Totalling Across Multiple Sheets
Summing data using cell references
Essential for financial professionals
Excel's Consolidation Function
Combines data from multiple
sheets
Streamlines data management
Essential Financial Functions
Covers basic to specialized
operations
Enables complex financial analyses
Uti lity for Chartered Accountants
- Data Consolidati on
Essential Techniques for Chartered
Accountants
Consolidation of financial data crucial for
audits and statements
Facilitates extraction of insights from large
datasets
Impact on Decision-Making
Enables informed decisions for clients and
organizations
Enhancing Accuracy and Efficiency
Streamlines complex calculations in financial
analysis
Ensures precision in managing financial
information
Professional Practice Benefits
Improves proficiency and effectiveness in
accounting roles
Using Excel’s Consolidati on
Functi onality
Select the Target Cell
Choose the cell for the total to
appear
Navigate to the Data Tab
Find the 'Data' tab on the Ribbon
Utilize the Consolidate Option
Open the 'Consolidate' dialog box via
the option
Define Range and Function
Select cell range and desired
function (SUM, AVERAGE, etc.)
Identify Reference Sheets
Select sheets for data consolidation
Customize Settings
Execute Consolidation
Functi ons in Excel
Accurate text data management is crucial for Textual data volume grew with business Data integrity is critical in current financial
financial professionals. expansion, requiring advanced processing. analysis.
Excel offers powerful text functions and validation Excel's development reflects the ongoing need for Excel's tools ensure reliable data for financial
tools for data precision. robust text functions. modelling and analysis.
Topics at a Glance
Syntax Details
Parameter Explanation
Syntax Overview
Function Parameters
Locating Values with MATCH Acquire skills to locate precise values in datasets
Critical Evaluation of Lookup Functions Choose the right function for financial analysis tasks
Introducti on to Lookup
Functi ons
Essential Tools for Financial Analysis
01 02 03
Essential Skills for Benefits of Mastery Impact on Financial
Chartered in Lookup Functions Analysis
Accountants •Allows for efficient •Facilitates in-depth
•Lookup functions enable dissection of large financial analyses.
precise analysis of financial datasets. •Enhances accuracy and
financial data. •Indispensable for reliability in financial
•They play a critical role in extracting vital financial reporting.
reducing errors in data figures.
management.
VLOOKUP (Verti cal Lookup):
Explanati on
Table Array A cell range containing searchable data with the lookup value in
Explanation the top row
Row Index Specifies the row number from which to return a value, starting
Number from the top
Range
Determines the match type: TRUE for approximate, FALSE for
Lookup exact
(Optional)
HLOOKUP (Horizontal Lookup):
Example - Employee
Department
Understanding HLOOKUP Function
Used for horizontal data lookup in
Excel
Efficient for finding specific table
data
Example Use Case
Locate department of employee
with ID '101'
Formula Breakdown
lookup_value: '101' for employee ID
table_array: A1:E3 for data range
row_index_num: 2 to get
department info
range_lookup: FALSE for exact
match
HLOOKUP (Horizontal Lookup):
Example - Retrieving Quarterly
Sales Figures
Understanding HLOOKUP Function
Retrieves specific data from a
horizontal array
Useful for comparing quarterly
sales figures
Spreadsheet Application
Product names as headers in the
first row
Sales figures in subsequent rows
Function Syntax
=HLOOKUP(lookup_value,
table_array, row_index_num,
[range_lookup])
Example Usage
Retrieve 'Product A' sales in Q3:
=HLOOKUP("Product A", A1:D100,
3, FALSE)
INDEX Functi on
Function Overview
Fetches specific values from a data
range
Designates row and column for data
retrieval
Function Syntax
Basic format: =INDEX(array,
row_num, [column_num])
Parameter Details
array: Defines the data range
row_num: Specifies the row for
data extraction
column_num (optional): Specifies
the column, if needed
MATCH Functi on
Function Purpose
Locates specific value within a range
Returns relative position of value
Syntax and Parameters
Standard format: =MATCH(lookup_value,
lookup_array, [match_type])
lookup_value: Target value to find
lookup_array: Range to search in
match_type: Defines match criteria
Match Types
1 or omitted: Largest value ≤ lookup_value
-1: Smallest value ≥ lookup_value
0: Exact match
INDEX and MATCH Functi ons:
Syntax and Explanati on
Title Slide
Topics at-a-Glance
Sorting Data
Protecting Worksheets
Introduction to Pivot Tables
Introduction to Pivot Tables
Exercise on Pivot Tables
Creating a Pivot Table
Managing Data Source
Custom Calculations and Calculated Fields
Applying Filters
Conditional Formatting
Introducti on to Data
Arrangement and Data Security
Efficient data arrangement as the
Essentials of Data foundation for analysis
Management in Finance Imperative data security for
confidentiality
Streamlines analytical processes for financial Ensures integrity and confidentiality of client Indispensable in managing sensitive financial
data. data. information.
Enhances efficiency in handling audits and Crucial for maintaining trust in financial Contributes to the overall reliability of Chartered
financial reports. services. Accountants.
Data Arrangement Techniques
Automates data aggregation, eliminating manual Easy modification of data field arrangements Allows interactive data dissection
calculations Provides various perspectives and insights Enables refining analysis without changing original
Ensures accuracy and time efficiency data
When to Use Pivot Tables
Salary Analysis
Exercise:
Analyzing Sales •Move 'Region' field to analyze trends by region
Trends
Managing Data
Sorting Data
Organize data within rows or columns
Identify trends effectively
Applying Filters
Overview
Introduction to Macros
Benefits of Macros in Financial Modelling
Handling Large Datasets with Macros
Types of Macros
Enabling Developer Tab in Excel
Recording Macros
Running Macros
Summary of Macros in Excel
Conclusion
Overview: Learning Objecti ves
Grasp the concept and Enhance efficiency and Learn to record and run Handle large financial Master naming, Ensure consistent
role of Macros in task accuracy with Macros macros for financial datasets effectively describing, and shortcut formatting of financial
automation data formatting key assignment statements
Overview: Introducti on to Macros
1 2 3
Macros: Excel's Historical Macros in Today's
Automation Development of Data-Driven World
Powerhouse Macros •Crucial for financial
•Set of instructions for •Originated from early modelling and data
automating repetitive computing batch analysis
tasks processing •Enables handling of
•Uses simple keystrokes •Evolved with large datasets efficiently
to complex VBA spreadsheet software
programming advancements
Overview: At-a-Glance Topics
in the Chapter
Definition of Macros
Automate repetitive Excel tasks
Range from simple keystrokes to complex VBA programming
Benefi ts of Macros in Financial
Modelling
Recorded Macros
Created by recording actions in Excel
Automates repetitive tasks efficiently
VBA Macros
Uses Visual Basic for Applications language
Enables complex, customized automation
Enabling Developer Tab in Excel
Automating Practical
Repetitive Tasks Application
For instance,
Macros are They range from
macros can
designed to basic keystroke
automate the
simplify repetitive recordings to
monthly formatting
operations in advanced VBA
of extensive
Excel. scripts.
financial datasets.
Summary of Macros in Excel:
Benefi ts of Macros in Financial
Modelling
Efficiency and Accuracy
Reduces human error and saves time
Ensures consistent, error-free financial modelling
Automates data updates and calculations
Handling Large Datasets
Processes large financial datasets effectively
Enhances scalability of financial models
Automates data cleansing, sorting, and analysis
Summary of Macros in Excel:
Types of Macros
Automate repetitive tasks in
Excel
Recorded Macros Created by recording a
sequence of actions