Professional Services

Basic Template

Advanced Rolling 13-Week Cash Flow Forecast

Advanced Rolling 13-Week Cash Flow Forecast

Get an overview of the 13-Week Cash Flow Forecast to check your business performance every week.

Get an overview of the 13-Week Cash Flow Forecast to check your business performance every week.

Compatible with

Integrations

Live Data

Template Description

This template provides an in-depth 13-week cash flow forecast, enabling businesses to closely monitor and manage their short-term liquidity. Specifically designed for Google Sheets, it allows for dynamic and interactive financial planning. While powerful as a standalone tool, integrating this template with LiveFlow can automate the inclusion of financial data from QuickBooks Online, ensuring an always-current and actionable cash flow forecast.

Who can this template help?

Financial planners in SMEs needing detailed short-term liquidity planning

Use cases

Enables precise 13-week cash flow forecasting to manage liquidity, crucial for businesses with cyclical cash flows or those in growth phases needing to closely monitor cash positions.

Get Started in 3 Simple Steps

01

Request Access

Book a demo to unlock your Consolidation Benchmarking Template.

02

Connect LiveFlow

Sync your QuickBooks, Xero, or ERP data directly into Excel or Google Sheets.

03

Customize It

Adjust the template to your exact reporting needs without breaking formulas.

The #1 platform for
multi-entity finance

The #1 platform for
multi-entity finance

The #1 platform for
multi-entity finance

The #1 platform for
multi-entity finance

Create a free website with Framer, the website builder loved by startups, designers and agencies.