13-Week Cash Flow Forecast Template
13-Week Cash Flow Forecast Template
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$35.00 USD
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$35.00 USD
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13-Week Cash Flow Forecast Template
This comprehensive and user-friendly template is designed to help businesses efficiently manage their cash flow with accuracy and flexibility. Ideal for SMEs, the template provides tools to forecast, track, and analyze cash flow over a 13-week horizon.
Key Features:
- Customizable Settings: Easily tailor categories and subcategories to reflect your business needs.
- Automated Forecasting: Generate accurate cash flow projections using various methods, with options for manual overrides for flexibility.
- Real Data: Users can import and categorize bank data seamlessly, leveraging automated and manual classification tools.
- Accounts Payable & Receivable Tracking: Input expected weekly payments and receipts to reflect real-world expectations in your forecast.
- Optional Sales & Expense Forecasting: Forecast revenue and expenses on an accrual basis for advanced financial planning.
- Real-Time Performance Analysis: Automatically compare actual cash flow against forecasts with insightful week-on-week variations in the Summary sheet.
- User-Friendly Design: Clear formatting and intuitive workflows ensure ease of use, even for those new to cash flow management.
- Multiple Driver Forecasting: Allows users to adapt to real-world situations effectively.
This template provides a powerful solution for proactive cash flow planning, helping users make informed decisions and stay ahead of financial challenges.