I will create a professional cash flow forecast in excel
Financial Analyst, Cash Flow Forecasting, Excel Expert
About this Gig
Are you looking for a reliable cash flow forecast to better understand your business finances and make informed decisions?
I provide professional cash flow forecasting, budgeting, and financial planning services using Microsoft Excel. Whether you are a startup, small business, or entrepreneur, I can help you gain clarity on your future cash position and plan with confidence.
Services include:
Cash Flow Forecasting
Revenue and Expense Projections
Budget Planning
Financial Analysis
Excel-Based Financial Models
KPI and Performance Tracking
What you will receive:
Accurate and well-structured Excel files
Professional financial planning support
Clear and easy-to-understand reports
On-time delivery
Confidential handling of business information
I am committed to delivering high-quality work and maintaining clear communication throughout the project.
Please contact me before placing an order if you have specific requirements.
Business type:
Startups
•
SMBs
Industry:
Business services & consulting
•
Financial services
My Portfolio
FAQ
What information do you need to create a cash flow forecast?
Business revenue, expenses, historical financial data (if available), and any assumptions or goals for the forecast period.
Can you create a forecast for startups?
Yes. I can prepare cash flow forecasts and financial planning models for startups, small businesses, and entrepreneurs.
Will I receive the editable Excel file?
Yes. All deliverables are provided in editable Excel format so you can review and update them in the future.
Is my financial information confidential?
Absolutely. All information shared during the project is treated as confidential and used only for project purposes.
Can you customize the forecast according to my business?
Yes. Every business is different, and I can tailor the forecast and financial model to your specific requirements.
Do you provide budget planning along with cash flow forecasting?
Yes. I can create detailed budgets and integrate them with cash flow forecasts to help you plan and monitor your finances effectively.
What if I don't have historical financial data?
No problem. For startups and new businesses, forecasts can be developed using assumptions, expected sales, planned expenses, and business goals.
Can you revise the forecast if requirements change?
Yes. Revisions can be made according to the package selected and the scope of the project.
Do you provide charts and dashboards?
Yes. Depending on the package selected, I can include visual charts, dashboards, and key performance indicators (KPIs) to make the financial information easier to understand.
Why should I choose your service?
I focus on accuracy, attention to detail, clear communication, and delivering practical financial insights. My goal is to provide forecasts and financial plans that help clients make informed business decisions with confidence.

