Cash Flow Rolling Forecast Template
A cash flow rolling forecast template is the best template for users who wish to work in a MS Excel-based format. It allows a user to insert data and make a projection of coming cash flows of a project or business. Moreover, individuals who are willing to purchase a fixed asset like plant, machinery or real estate, can apply this rolling forecast to evaluate how much cash flow is required and how much can be financed.
Please download your template by clicking Download button