Excel Help!
Hey guys - need some excel help. I have a basic operating/LBO model but having an issue. My cash flow schedule tab only works when I hit "Calculate Sheet" vs "Calculate All". I understand there is circularity on my cash flow tab but not able to figure this one out.
The tab does not calculate properly when its on automatic calculation. If I select the returns tab, cash flow tab and refresh the calculations on those tabs then it works as well. Anyone faced an issue like this before?
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