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📊 UNEVEN CASH FLOW CALCULATOR (.XLSX) ⭐⭐⭐⭐⭐

📊 UNEVEN CASH FLOW CALCULATOR (.XLSX) ⭐⭐⭐⭐⭐

Sale price  £1.00 Regular price  £4.95

📊 OVERVIEW
An editable Excel workbook designed to calculate present and future values of irregular cash flows across multiple periods. Ideal for founders, finance teams, and consultants managing non-linear investment scenarios or forecasting variable returns.
📦 WHAT’S INCLUDED
• 📊 Editable Excel workbook (.xlsx)
• 🧮 Input fields for cash flow values, discount rate, and period start date
• 📘 Built-in logic for present value (PV) and future value (FV) calculations
• ✅ Colour-coded layout with blue inputs, green links, and black calculations for clarity
• 📈 Sample-stamped uneven cash flow entries for testing and client-side adaptation
🧠 USE CASES
• Investment analysis with variable cash inflows and outflows
• Client-facing documentation for grant applications or investor decks
• Strategic planning for project-based or seasonal revenue models
• Reusable format for financial modelling and scenario testing
🎯 FEATURES
• Editable .xlsx format with UK spelling and layout standards
• Modular structure for inputs, calculations, and outputs
• Unbranded and consultancy-free
• Compatible with Microsoft Excel and Copilot editing
🔴 INSTANT DIGITAL DOWNLOAD
This template is available for immediate download—no waiting, no shipping. Perfect for finance professionals needing a clean, editable tool for uneven cash flow analysis

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