Monthly Cash Flow Forecast
Use the Monthly Budget Template to compile a document that you can continue to use to measure your business’s health and progress.
The template is split into four sections, “Income”, “Cost of Goods Sold/Direct Costs”, “Essential Expenses” and “Non Essential Expenses”.
Fill out the cells which are white, and formulas should calculate the flow on effect on any changes that you put in – spitting out down the bottom you expected bank account balance.
Got a question? Please don’t hesitate to get in touch.