Business Planning Spreadsheet:
Cash Flow Forecast/Performance Report - Excel Spreadsheet for Business Planning
This spreadsheet template is designed to simplify the process of creating a cash flow projection and net profit and loss forecast for a new business. Cells are pre-formatted to calculate totals based on the data you input for your business. You will need a copy of Excel and some basic spreadsheet experience to utilize this report.
If you are writing a business plan, or simply need assistance developing financial projections for your business, this spreadsheet could save you countless hours of work!
Included with your purchase is one Microsoft Excel spreadsheet with three worksheets:
1. A sample forecast.
2. A blank forecast template for your use.
3. Brief instructions for using the template.
File is available for immediate download after payment is complete.