When you track the cash coming in and flowing out of your business, you’ll make smart, CEO-style decisions -- like when to spend, where to invest, when to plan promos and how to keep MORE of your money!
FREE: Download this Cash Flow Forecasting Worksheet for every row, column & formula you need to follow the money. It can work for any business!
With a bit of work you can have a full year forecast of:
The BIGGEST excuse I hear from clients about tracking their cash flow is that it takes too much time.
That’s why I’ve set up everything you need in this Cash Flow Forecasting Worksheet. Now all you have to do is thoughtfully insert some numbers, and you can make it so your business is never caught under-funded again!