Monthly Cash Flow Forecast

Monthly Cash Flow Forecast

Use the cash flow forecast template to compile a document that you can continue to use to measure your business’s health and progress.

The template is split into two sections, “Sales” and “Less Payments”.

Enter your sales figures into the first section and your costs into the second.

The template will automatically calculate your sales and costs figures for you, to show you the cash surplus or deficit remaining.

Template  Download the cash flow forecast template

Got a question? Please don’t hesitate to get in touch.

Related Posts

member-img

How to Avoid Costly Inventory Problems

Inventory is the lifeblood of your business. It is the largest asset on your balance sheet and your

Read More
member-img

Improving cash flow: Tips for getting paid faster

Maintaining positive cash flow can be challenging for small businesses, whether you’re just starti

Read More
member-img

Financial Management 101: The Importance of the Balance Sheet

You’ve likely heard the phrase “in the black.” Your balance sheet is the tool that shows you w

Read More