Cashflow Plan is a range of software packages
for preparing monthly cash flow forecasts (with projected
income statements, balance sheets and ratios) for 12 months ahead
for young & established businesses of all sizes and types.
It incorporates a roll-forward facility to speedily update
the projections every month. Use it for business plans, cashflow
planning and management, budgeting, fund raising etc. Cashflow
Plan runs as a powerful, easy-to-use template with Excel (versions
5, 7, 8, 95, 97, 2000, XP, 2003 or 2007) using Windows (95/98/Me/NT/2000/XP/Vista).
Save time and money and add substantial business, financial and
spreadsheet know-how to your cashflow
planning - check the benefits of using
Cashflow Plan or get more details and
free trial downloads. For multi-year
projections, see Exl-Plan.
The Frequently Asked Questions (FAQ) have been assigned to three
sub-pages as follows: