If you are looking for cash flow forecast templates and for an easy life when preparing a cash flow forecast for your small business – you need look no further.
Cash Forecaster has been built using thousands of formulas and is based upon Microsoft Excel. It is an effective template for preparing cash flows for most sizes of business and what’s more – it is easy to use.
There is no need to spend hours working out the formulas or indeed the interaction between revenue and cash inflows or between expenditure and cash outflows. All you need to do is to make a few adjustments to the settings that apply to your particular business and then enter your data for up to 7-years, depending upon the version of Cash Forecaster you purchase.
If you would like to take a look at our user manual or if you want to trial our free cash flow forecast version before you buy please do so.



