Your Cart
Loading

Excel Cash Flow Forecast

On Sale
$15.00
$15.00
Added to cart

This Excel-based Cash Flow Forecast provides a structured monthly breakdown of projected income and expenses to help manage liquidity and financial planning. It includes built-in formulas for calculating net cash flow, opening and closing balances, and offers clear visibility into cash trends over time—ideal for small businesses, startups, or financial consultants.

You will get a XLSX (16KB) file