Preparing a Monthly Cash Flow Projection

Date 23 February 2017
Author exceldepo
Category Charts
Type XLSX

An Excel file that teaches how to perform Preparing a Monthly Cash Flow Projection operation.

Excel Spreadsheet for Preparing A Monthly Cash Flow Projection

Revenue and expense items are broken down by period. Cash surpluses and deficits are calculated. Cash balance is displayed graphically. Assumptions can be changed dynamically. Report output is ready.

Hope it is useful.

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