One-year Cash Flow Projection template is a useful tool for cash flow forecasting and for effectively planning business. Cash Flow Statement Template represents you the core indicators for detailed business analysis and helps to build a step-by-step instruction to success. Projected cash flow template allows you to track a net cash movement, to calculate revenue, to forecast expenses and to develop a successful business. It helps you to create a financial plan and make forecasts for your startup. Using detailed tables, interactive charts, particular reports, and own forecasts your Cash Flow Projection template will help to get informative business data. Equipped with detailed video instruction and helpful How to sections. Used by chefs, managers, advisors, founders, and investors. Available for copying by selecting the text and using copy/paste into Excel, Word, Google sheets or other documents. Compatible with Mac and Windows.