Cash Flow Forecast - with Financial Statements

This Cash Flow Forecast builds out the Financial Statements for a five year period. By inputting short and long term assumptions surrounding your operations and working capital requirements, this model will build out a Balance Sheet, Income Statement and Cash Flow Statement.

Price $50.00   Add to Cart
Business Tool Type Finance
Categories Financial Models
Industries Accounting, Advertising, Agriculture, Automotive, Business to Business, Energy And Natural Resources, Financial Services, Retail, Tech, Travel And Tourism
Business Type Small to Medium Companies
Benefits This Forecast model is easy to use for building out a forecast and updating with actual results as they are ready. The model is built off of your operating assumptions and can easily be updated for any changes or variances as time progresses. This is a great tool to help manage cash flow, capital projects and financing requirements.
Target User Accountants, Controllers, Financial Analysts
Types Of Supporting Services Provided Ad hoc requests
Hourly Rate $50.00
Format excel
About The Seller I am a CPA with ten years of experience in consulting, public company, private company and Big Four accounting firm experience. I have worked in Financial Reporting, Merger's and Acquisitions, Audit and Strategic Planning.

There is a sample download file available.

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