Cash Flow Projection - Weekly Template
Use this weekly cash flow template to create weekly cash flow projections for 52 weekly periods in Excel. Template includes a weekly income statement, cash flow statement and balance sheet with quarterly & annual totals. Cash flow projections are based on user defined turnover, gross profit and expense values and automated calculations based on a series of assumptions.
- Includes 52 weekly periods
- Suitable for service and trade based businesses
- Reporting periods based on a single user input cell
- User input limited to basic template assumptions
- Expense accounts can be customized & more accounts added
- Automated income statement, cash flow statement & balance sheet
- Includes sales tax, income tax, payroll accruals & dividends
- Includes quarterly & annual totals