Basic Template

Weekly Cash Flow from P&L and BS Template for Google Sheets

Weekly Cash Flow from P&L and BS Template for Google Sheets

Get a overview of Cash Flow Forecast template to check your business performance every week.

Get a overview of Cash Flow Forecast template to check your business performance every week.

Compatible with

Integrations

Live Data

Template Description

This template forecasts weekly cash flow based on data from profit and loss statements and balance sheets, enabling businesses to plan short-term financial strategies effectively. Compatible with Google Sheets and Excel, it supports detailed liquidity management. Integration with LiveFlow allows for automatic updates with financial data from QuickBooks Online, providing an up-to-date and accurate cash flow forecast.

Who can this template help?

Finance managers and CFOs in SMEs needing short-term financial oversight

Use cases

Links weekly cash flow forecasts to profit and loss and balance sheet data, supporting agile financial management and planning.

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.