Cashflow Budget Annual   Excel template (XLSX)
$69.00

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Cashflow Budget Annual (Excel XLSX)

Excel (XLSX)

$69.00
This financial model is designed by a certified financial modeling and valuation analyst with more than 15+ years experience in senior finance positions and projects.
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DESCRIPTION

This product (Cashflow Budget Annual) is an Excel template (XLSX), which you can download immediately upon purchase.

Annual Cashflow budget for controlling and monitoring the inflows and outflows of your company.

Description

A cash flow budget is a financial document that helps an organization or individual project the flow of cash in and out over a specific period. This budget is crucial for managing liquidity and ensuring that there are sufficient funds to cover operational expenses, investments, and other financial obligations.

The model includes the following tabs:

Revenues:

Accrued per Client: Calculates the amount according to seasonality and the total amount within the year. (selection per month)
Amount per Client: Depicts the amount divided by the months in the year.
Receivables: There are two options: payment is received either one month after the sale or one month after all work has been completed.

*Up to 50 clients but you could add more.

Employees:

There are 6 (six) subsections to calculate seasonality, Scheduled Days, base salary, benefits expense and bonus.
*Up to 8 employees but you could add more.

OpEx:

There are eleven (11) categories of expenses/outflows. Similarly, seasonality is available here to filter the expenses.

Forecast:

Calculations are done according to the monthly assumptions in the Revenue, Employees, and OpEx sections.

Actual:

You should insert the actual outflows per month.

Forecast vs Actual Summary:

To compare the actual months with the upcoming forecasted months.


Forecast vs Actual Summary and Graphs:


It is the variance analysis per month and quarter.


Statement:


The summary according to actual figures is organized into three categories. It depicts the net summary of flows per month and the closing balance.

Help & Support

At N Consulting, we specialize in delivering top-tier financial modeling services tailored to meet the unique needs of businesses across various industries.

Our expert team creates detailed financial models that support strategic decision-making, optimize financial performance, and drive business growth.

We navigate our customers in deep water of entrepreneurship by providing forecasting, budgeting, valuation, to empower your financial planning and ensure your company's success.

If you encounter any issues with this model, please do not hesitate to reach out to our support team for prompt and comprehensive assistance.

Got a question about the product? Email us at support@flevy.com or ask the author directly by using the "Ask the Author a Question" form. If you cannot view the preview above this document description, go here to view the large preview instead.

Source: Best Practices in Cash Flow Management Excel: Cashflow Budget Annual Excel (XLSX) Spreadsheet, N Consulting


$69.00
This financial model is designed by a certified financial modeling and valuation analyst with more than 15+ years experience in senior finance positions and projects.
Add to Cart
  

ABOUT THE AUTHOR

Author: N Consulting
Additional documents from author: 6

At N Consulting, we specialize in delivering top-tier financial modeling services tailored to meet the unique needs of businesses across various industries.

Our expert team creates detailed financial models that support strategic decision-making, optimize financial performance, and drive business growth. [read more]

Ask the Author a Question

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