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šŸ’° CONSTRUCTION PROJECT CASH FLOW PLANNER TEMPLATE (EXCEL)

šŸ’° CONSTRUCTION PROJECT CASH FLOW PLANNER TEMPLATE (EXCEL)

Sale price  Ā£1.00 Regular price  Ā£5.95

šŸ“Š OVERVIEW
A robust Excel workbook for tracking cash flow across operational, investment, and financing activities in construction projects. Designed for project managers, financial controllers, and developers, this template includes structured inflow/outflow fields, loan and tax tracking, and annual cash balance summaries. Ideal for fiscal planning, investor reporting, and internal audits.
šŸ“¦ WHAT’S INCLUDED
• šŸ“˜ Excel workbook (.xlsx)
• 🧾 Cash flow statement with monthly breakdowns and annual totals
• šŸ’ø Sections for operations, investments, and financing activities
• šŸ“ˆ Net increase/decrease and opening/closing balance calculations
• āœ… Ready for printing, PDF export, or digital sharing
🧠 USE CASES
• Construction project financial planning and forecasting
• Loan and expenditure tracking for multi-phase builds
• Internal reporting and external funding presentations
• Reusable format for any fiscal year or construction scale
šŸŽÆ FEATURES
• Editable .xlsx format with UK spelling and layout standards
• Modular layout for expanding categories or adjusting monthly inputs
• Compatible with Microsoft Excel and Copilot editing
• Built-in formulas for cash flow analysis and balance tracking
šŸ”“ INSTANT DIGITAL DOWNLOAD
No waiting, no shipping, no locked fields. This template is available immediately and built for professionals who need a structured, editable way to manage construction cash flow. Download, customise, and start planning—right away.

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