Cashflow Forecasting is probably one of the most important tools for every business, no matter what the size. As bookkeepers, Cashflow Forecasting is an incredibly valuable service we can provide for our clients.
If you've ever avoided Cashflow Forecasting because it seemed too complicated or you want confident in getting it right, or if you do it but you still feel like it could be simpler, then this template is for you.
This spreadsheet is easy to use and understand, and will make Cashflow Forecasting a breeze for you and your clients.
What you get:
- Excel spreadsheet with sample Cashflow Forecast and Template for you to use
- PDF document with instructions and tips to get the most out of your Cashflow Forecast Spreadsheet
- Both of these documents are available for instant download immediately after purchasing