Financial Projections Template

This free business plan financial projections template can be used by any business to give an idea of the estimated income and expenditure, balance sheet and cash flow projections for a 5 year period.

The Excel file available for download below, will help you to carry out your own financial projections.

The latest version v 1.38, also includes revenue, profit, and cash graphs, together with ratio analysis and break even revenue for each year.

financial projections template
Financial Projections Template Preview

Financial Projections Template Download

The financial projections template is available for download in Excel format by following the link below.

Notes and major health warnings
Users use this accounting template at their own risk. We make no warranty or representation as to its accuracy and we are covered by the terms of our legal disclaimer, which you are deemed to have read. This is an example of an accounting format that you might use. It is purely illustrative. This is not intended to reflect general standards or targets for any particular company or sector. If you do spot a mistake in the template, please let us know and we will try to fix it.
Financial Projections Template August 1st, 2017Team

You May Also Like

Related pages

sales accrualsdiscount factor formula excelcash payback period formulawhat is accounts receivable turnoverinventory spreadsheet templatesjournal entries for revenue recognitionfifo calculationaccounting ratio formulashow to compute net sales in accountingcash book ledger formatdupont identity formulameaning of fob destinationcalculating gross profit rateaverage payment period ratioannuity exceljournal entries for variancessimple balance sheet format exceldeffered tax calculationaccounting concept and principlesformula for retained earningexcel npvtotal variable costs formulaoverhead absorption rateexcel data entry form template excel 2007basic bookkeeping templateadvances from customers journal entryjournal entry for bank reconciliationexcel pmt examplecalculating accounting rate of returnformula for payback periodperiodic inventory system definitionwhat is accrued rentexamples of prepaid expensespetty cash ledger templatemarketable securities in accountingwhat is debtors turnoverhow to calculate gross margin percentage formuladirect material usage variance formulaamortization accounting treatmentexamples of factory overheadinterview questions and answers for accounts payable positionfuture value annuity tablesaccounts and ledgersfixed asset reconciliation templatelease in perpetuity meaningwhen closing entries are madehow to record prepaid rent journal entrymark up in accountingjournalizing transactions in accountingan expanded version of the accounting equation could bereorder level formulapayroll accounting journal entriesredeemable preferred stockaccum depreciationtrial balance worksheet templatecapital lease lessor journal entriesformula to calculate retained earningsbookkeeping double entryreceipt examples templateshow do you calculate total variable costbank reconciliations examplessundry debtors definition accountingpayback period formula uneven cash flowsfv of annuity formulawhat is amortisation of goodwillnotes payable debit or credithow to reconcile petty cashaccrued income meaninghow to calculate direct materials purchasedvertical analysis of a balance sheetnon current asset turnover formulareasons for material price variancesales and purchase ledger templateaccrued expense exampleswhat is the normal balance for accounts receivableretiring bonds journal entrypayback period formula uneven cash flowsreversing accrualswhat is the dupont formulacost ledger control account definition