Cash flow forecast template

Cash flow forecast template

Use the cash flow forecast template to compile a document that you can continue to use to measure your business’s health and progress.

The template is split into two sections, “Sales” and “Less Payments”.

Enter your sales figures into the first section and your costs into the second.

The template will automatically calculate your sales and costs figures for you, to show you the cash surplus or deficit remaining.

Template  Download the cash flow forecast template

Related Posts

member-img

Planning the year ahead

The turn of the year usually prompts most people to think about some business planning for the year

Read More
member-img

Managing Debt and Creating a Debt Repayment System

Debt can be a significant burden on one’s financial life. It can cause stress, anxiety, and make i

Read More
member-img

Insights from your Profit and Loss account

Most small business people would agree that their Profit and Loss account (now more correctly called

Read More