I will create 13 week cashflow forecast, cashflow projection, excel financial model

Brazil

I speak English, French, Polish, Spanish, German

Excel expert

Hi, I’m a Google Sheets and spreadsheet specialist helping businesses turn complex data into simple, organized, and automated systems. I create custom Google Sheets dashboards, advanced formulas, temp...
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

Power BI

Python

Type of model:

Scenario analysis

Working capital

Industry:

Business services & consulting

E-Commerce

Target country:

United Kingdom

United States

Worldwide

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