Cash flow forecast template with an Excel free trial version.
Our cashflow forecast excel template has been designed with the main focus of speed and accuracy – The speed is in having professional looking reports out in no time at all; The accuracy is controlled by the built-in balance sheet for each period end.
This cash flow projection template was developed over a number of years and we are always looking to update and improve the software and welcome customer feedback about improvements to make.
I am a Chartered Accountant by trade and having advised hundreds of clients on both cash flow forecasts and business plans, I was able to put this experience to good practice, when I developed this simple yet comprehensive cash flow forecast template.
We decided that a free cash flow version was not necessary, as we offer a no quibble money back guarantee anyway, so if our software is not what you expect, let us know and we will refund you.
In addition to our 30-Day Money Back Guarantee…
If you notify us immediately of a feature you’d like included when you purchase Cash Forecaster, we’ll extend this guarantee to the point we deliver on including your requested new feature. So if we are not able to add the feature you require, for whatever reason, you will receive your money back. And remember, adding a feature in this way, is completely free of charge too.
All you need is Microsoft Excel and very basic spreadsheet knowledge, and you’ll be up and running in no time at all!