- Reviews (0)
Cash Flow Statement Excel Template – Free
A cash flow template is a financial tool that helps individuals to plan and manage their cash flow effectively. In addition, it is designed to track the inflow and outflow of cash within a specific period. Therefore, typically a month or a year, to help users understand their financial position and make informed decisions. This Free Cash Flow Excel Template made by Oak Business Consultant is for all users. Moreover, the best part is that it is completely free of cost. There are no hidden charges!
This excel Financial Model template presents a full structure of a cash flow statement and for your understanding, it is easy to use, and we feature it with comment boxes for each piece of information. The comment boxes, once understood, can be removed easily. Each Comment box explains how to calculate information that needs to be recorded in that cell, along with a positive or negative sign.
The design is the signature of Oak Business Consultants and is pleasing to the eye.
Who Should Use?
Anyone with basic accounting knowledge who wishes to make this statement without anyone’s help can easily use this free Excel Template by Oak Business Consultant.
The template is self-explanatory, and the comment boxes explain how to fill in the required information.
Benefits of using the Cash Flow Statement Excel Template
- The Cash Flow Statement Template does not require much time, so that you can utilize your time in your startup operations and other work.
- The Cash Flow Statement Template is made after thorough research to generate accurate results.
- Furthermore, the calculator is cost-effective; you do not need an expensive financial expert for Cash Flow Statement Template calculations.
- In addition, the Cash Flow Statement Template calculations are linked; you don’t have to create any formula, you have to enter your startup-specific data in the peach-filled column, and the calculation will update automatically.