Cash flow forecasting is made easy using software designed specifically for the purpose and we have the solution for most businesses right here. Our easy to use cash flow software can be used to prepare a short period cashflow for small businesses or for a specific project using our basic version, which has most of the features of the other versions, but has very simple 12-month forecast reports.
Financial forecasting software avoids the need to spend hours preparing Excel Templates so you can get straight down to the important task of cash flow forecasting. The Cash Forecaster Software has a built-in balance sheet so that you will always know whether you figures balance and so that you can work out your business ratios and liquidity for your business into the future.
If you are looking for a longer-term cash flow forecasting period then you will need to upgrade to the Standard Version which has a three-year reporting period. If however, three years is not enough or if this version does not have all the features you are looking for then I suggest taking a look at our 'Version Comparisons'.