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šŸ“Š EXPECTED CASH FLOW STATEMENT TEMPLATE Excel Spreadsheet ⭐⭐⭐⭐⭐ (5.0)

šŸ“Š EXPECTED CASH FLOW STATEMENT TEMPLATE Excel Spreadsheet ⭐⭐⭐⭐⭐ (5.0)

Sale price  Ā£1.00 Regular price  Ā£5.95

šŸ“ Overview:
This Expected Cash Flow Statement Template is a comprehensive Excel tool for forecasting operational, financial, and investment cash flows across a full fiscal year. With both annual and monthly breakdowns, it offers a dashboard-style view of inflows, outflows, and net cash positions—ideal for finance teams, business owners, and consultants.
āœ”ļø What’s Included:
• Ā  Ā  1 x Excel spreadsheet (.xlsx)
• Ā  Ā  Annual cash flow statement with sections for Operations, Finance, and Investments
• Ā  Ā  12-month breakdown for detailed monthly tracking
• Ā  Ā  Net cash calculations and opening/closing balance logic
• Ā  Ā  Fully editable structure for any fiscal year
šŸŽÆ Perfect For:
• Ā  Ā  Finance managers and accountants
• Ā  Ā  Small business owners and startup founders
• Ā  Ā  Consultants preparing investor-ready forecasts
• Ā  Ā  Non-profits and grant-funded organisations
• Ā  Ā  Freelancers managing client cash flow projections
āš™ļø Features:
• Ā  Ā  Tracks inflows and outflows across operations, financing, and investing activities
• Ā  Ā  Includes dividend, debt, and equity repayment logic
• Ā  Ā  Monthly and annual views for granular and summary analysis
• Ā  Ā  Excel-native formatting—no macros or plugins required
• Ā  Ā  Reusable across fiscal years or client portfolios
šŸ“„ INSTANT DIGITAL DOWNLOAD
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