Cash Flow Forecasts with our cash flow forecasting software
Our Cash Forecasting Tool is an easy-to-use cash and profit forecasting solution to help you gain greater control over your cashflow and your business. It has been designed specifically to help small businesses to plan more efficiently for the future and is an essential tool that every business should have.
What our customers say about cash forecaster:
"We can recommend the cash flow forecaster as being a very simple programme to use, producing professional-looking reports, very reasonably priced and saved us many hours of work compiling our own initial spreadsheet. The after-sales service was also extremely efficient." Jane Heard Associates
"The template is excellent - very easy to use. You can produce a professional set of forecasts very quickly. You can spend your time producing accurate figures rather than trying to work out how to make the balance sheet balance with the cash flow forecast! It makes a horrible job effortless and enjoyable." Tim Moorhouse, Complete Accountancy Plus Ltd
"By the way I think it is excellent value. Sage wanted me to pay an extortionate amount for sage winforecasting! Glad I didn’t." Amanda, England
"I've been putting your product through it's paces and, not surprisingly am finding it excellent." Thorsten of New Zealand
"Just a brief note to congratulate you on a superb product. It has saved me hours on a recent clients projections." Phil Taylor, Cooper Taylor
"It took only 10 minutes and I had a complete cash and profit forecast printed and ready for the bank, including balance sheets! Well worth the small investment I made in this easy to use template" Adrian B, UK
"I used to hate putting cash forecasts together before I purchased this Excel template - I always used to worry whether the figures balanced, but now I can revise my figures with complete peace of mind" Simon O
"I would higly recommend the cash flow forecaster. It is an extremely professional and detailed template enabling your cashflows to be highly accurate while at the same time the template is very easy to use. The balance sheet and profit and loss reports are also excellent and the template produces very professional report print outs. This cash flow forecaster saved me hours of additional work and the after sales support is also excellent." Angela of AGBookkeeping, Republic of Ireland