Excel-Skills.com
100% UNIQUE EXCEL TEMPLATES
TEMPLATE CATEGORIES / CASH FLOW / CASH FLOW PROJECTION - ANNUAL
24 

Cash Flow Projection - Annual Template

Use this cash flow forecast template to create annual cash flow projections in Excel for 5 annual periods. Annual cash flow projections are based on user defined turnover, gross profit and expense values and automated calculations based on a series of assumptions. Template produces an annual income statement, cash flow report and balance sheet.

  • Includes 5 annual periods
  • Suitable for service and trade based businesses
  • User input limited to basic template assumptions
  • Expense accounts can be customized & more accounts added
  • Automated income statement, cash flow statement & balance sheet
  • Accommodates loan amortization or interest-only loans
  • Includes sales tax, income tax, payroll accruals & dividends
  • Includes calculation of key financial ratios
cash flow projection - annual template sheet 1
Cash Flow Projection - Annual Template - Sheet 1
cash flow projection - annual template sheet 2
Cash Flow Projection - Annual Template - Sheet 2
cash flow projection - annual template sheet 3
Cash Flow Projection - Annual Template - Sheet 3
cash flow projection - annual template sheet 4
Cash Flow Projection - Annual Template - Sheet 4
cash flow projection - annual template sheet 5
Cash Flow Projection - Annual Template - Sheet 5
cash flow projection - annual template sheet 6
Cash Flow Projection - Annual Template - Sheet 6
cash flow projection - annual template sheet 7
Cash Flow Projection - Annual Template - Sheet 7
cash flow projection - annual template sheet 8
Cash Flow Projection - Annual Template - Sheet 8