![]() “ It took only 10 minutes and I had a complete cash and profit forecast printed and ready for the bank, including balance sheets.” Adrian B in the UK. If you don’t fully understand Excel, but still need to prepare a cash flow forecast, then our cash flow forecast template is the ideal solution for you why? Because it’s a simple and easy use data entry styled template. £147.00 Add to basket Are you struggling to know where to begin with your Excel spreadsheets?ĭo you have an impending deadline to have a set of professional cash flow and profit forecast reports ready by? ![]() Save time reviewing your best and worst case scenarios with the built-in sensitivity analysis tool, which makes doing ‘what-if’ scenarios fast and easy. ![]() Escape the pain of working out where and how to include VAT (Sales Tax) in the correct places on your projections, as these calculations have all been carefully worked out for you.Avoid the headaches and the lost time you can spend calculating which numbers to include on which reports.Avoid the worry of whether your numbers balance, as a projected balance sheet is built-in.Save valuable time, as the reports are ‘ready to go.’.Avoid having to calculate complex Excel formulas.Save time setting up lengthy and complicated spreadsheets with our simple cash flow forecast template.Description The benefits at a glance of our easy to use cash flow forecast template download
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