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Cash Flow Forecast - April 2025 - March 2026

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£4.50 (30% off)
£3.15
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🧾 Annual Cash Flow Forecast Excel Template (UK Financial Year)

Plan, track, and forecast your business cash flow with ease – designed for the UK financial year (April–March).

Whether you're a small business owner, freelancer, or finance professional, this template helps you gain full control over your inflows and outflows, with automated charts and a clean dashboard to visualize trends at a glance.


✅ What’s Included:

  • Monthly Cash Flow Table (April–March)
  • Automatic Net Cash Flow Calculation
  • Closing Balance Tracker
  • Professional Dashboard with Charts:
  • Line Chart: Net Cash Flow
  • Column Chart: Inflows vs Outflows
  • Cumulative Balance Chart
  • Optional Sparklines
  • Designed for UK Financial Year 2024–2025

💡 Key Features:

  • Beginner-friendly and fully editable
  • No formulas required – simply enter your numbers
  • Perfect for budgeting, forecasting, and planning ahead
  • Works in Microsoft Excel (desktop)

📥 Instant Download:

Your template will be available as an Excel file immediately after purchase.


Take control of your business finances with confidence, start forecasting like a pro today!

You will get a XLTX (30KB) file

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