I will create 13 week cashflow forecast, cashflow projection, excel financial model
About this Gig
Are you struggling to understand your business cash position, upcoming expenses, or whether youll have enough cash to cover your financial obligations?
I will create a 13 week cash flow forecast in Microsoft Excel to help you monitor cash inflows, cash outflows, operating expenses, working capital, and projected cash balances.
My cash flow forecasting service is suitable for startups, small businesses, e-commerce businesses, and established companies that need a clear view of their short-term financial position.
What youll get:
- 13 week cash flow forecast
- Cash inflow & outflow projections
- Revenue and expense forecasting
- Opening & closing cash balance
- Weekly cash flow analysis
- Working capital tracking
- Excel financial model
- Best-case / worst-case scenarios
- Easy-to-use and editable spreadsheet
- Clear financial insights
I can build the forecast from your historical financial data, bank statements, sales information, expenses, budgets, or existing Excel/CSV files.
Whether you need a cash flow projection, financial forecast, business budgeting model, or working capital forecast, Ill create a structured Excel solution tailored to your business.
Send me your data and requirements.
Visualization Tools:
Microsoft Excel
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Power BI
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Python
Type of model:
Scenario analysis
•
Working capital
Target country:
United Kingdom
•
United States
•
Worldwide
Other Financial Planning & Analysis Services I Offer
FAQ
Can you update an existing cash flow spreadsheet?
Yes. If you already have an Excel cash flow model or template, I can update, improve, automate, or restructure it based on your requirements.
Can you help analyze the completed forecast?
Yes. I can highlight expected cash shortages, major expenses, cash requirements, and important trends within the forecast.
Is this suitable for startups and small businesses?
Absolutely. The forecast can be designed for startups, e-commerce businesses, small businesses, and established companies.
Can you use my historical financial data?
Yes. Historical sales, expenses, and cash flow data can be used to create more realistic projections.
Can you customize the forecast for my business?
Yes. I can customize revenue, expenses, payment timing, operating costs, working capital, and other cash flow assumptions based on your business.
Can you include different financial scenarios?
Yes. I can include best-case, base-case, and worst-case scenarios to help you understand potential cash positions.
Can you customize the forecast for my business?
Yes. I can customize revenue, expenses, payment timing, operating costs, working capital, and other cash flow assumptions based on your business.
Will the cash flow forecast be created in Excel?
Yes. I will create an editable Microsoft Excel cash flow forecast that you can update as your business changes.

