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Cash flow and balance sheet forecast

 

Very detailed cash flow and balance sheet forecasting template that enables finance professionals to build accurate and reliable monthly cash flow and balance sheet forecast by inputing historical financial data, and projected income statement, CAPEX, working capital days and other assumptions.

 

Spreadsheet also builds balance sheet dailed movement schedules and profit and loss statement.

 

Essential tool to decide on timing and amount of external financing required throughout the year.

Cash flow and balance sheet forecast

SKU: 1005
€ 19,00Price
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