{"product_id":"cash-flow-roi-template-investment-roi-calculator-cash-flow-analysis-sheet-financial-calculator-business-finance-template","title":"Cash Flow ROI Template | Investment ROI Calculator | Cash Flow Analysis Sheet | Financial Calculator | Business Finance Template","description":"Cash Flow ROI Template — Excel and Google Sheets\nThis Cash Flow ROI Template is designed to help businesses and investors evaluate profitability, analyze cash flow performance, and calculate ROI with clarity and accuracy. Ideal for entrepreneurs, finance professionals, analysts, and business owners, this tool provides a structured layout for entering key financial inputs and generating clear, actionable insights.\nThe template includes organized sections for net income, amortization, depreciation, working capital changes, capital expenditures, total assets, total liabilities, and ROI percentages. It offers a professional framework that supports confident and informed investment decision-making.\n\nWhat You Will Receive\nYou will instantly receive:\nOne Excel file (.xlsx)\nOne Google Sheets version\nFully editable and formatted for desktop, laptop, and tablet use\n\nInside the Template\nThis template includes:\nComplete Cash Flow ROI calculation layout\nFields for net income, amortization, depreciation, taxes, and operating adjustments\nCash flow from operations, investing, and financing sections\nROI and net cash flow calculation areas\nProfessional, clean formatting for clarity and easy data entry\nAuto-calculated totals (depending on software settings)\n\nFeatures\nCash Flow Tracking: Enter income, expenses, liability changes, and adjustments for accurate cash flow reporting.\nROI Calculation: Built to calculate return on investment using structured formulas.\nOrganized Layout: Professional design with easy-to-read labels and clear input fields.\nData Transparency: Helps identify trends, track cash movement, and evaluate investment performance.\nCustomizable Structure: Adjust rows, labels, and sections to fit your specific financial needs.\n\nBenefits and Functions\nEvaluate investment profitability with a structured, reliable template\nUnderstand cash inflows and outflows across key activities\nSupport strategic financial decision-making\nPresent financial performance professionally for stakeholders\nSave time with a pre-built, organized calculation format\nImprove financial planning, modeling, and investment analysis\n\nPerfect For\nSmall business owners\nInvestors and analysts\nFinancial advisors\nAccountants and bookkeepers\nCorporate finance teams\nConsultants\nAnyone needing ROI and cash flow calculations\n\nHow It Works\nPurchase the listing\nDownload the files instantly\nOpen in Excel or Google Sheets\nInput your financial data into each labeled section\nReview your cash flow and ROI results with clarity and accuracy\n\nImportant Notes\nThis is a digital download only; no physical item will be shipped.\nYou may use the template for personal or business purposes, but you may not resell or redistribute it.\n\nGet It Now\nGain insight into profitability, cash flow performance, and investment returns with this professionally designed Cash Flow ROI Template for Excel and Google Sheets.","brand":"ExcelSheets.net","offers":[{"title":"Default Title","offer_id":67841126957360,"sku":null,"price":23.0,"currency_code":"USD","in_stock":true}],"thumbnail_url":"\/\/cdn.shopify.com\/s\/files\/1\/0998\/8780\/8816\/files\/d6b69cae-il_fullxfull.7692179636_cwn6.jpg?v=1790219610","url":"https:\/\/excelsheets.net\/products\/cash-flow-roi-template-investment-roi-calculator-cash-flow-analysis-sheet-financial-calculator-business-finance-template","provider":"Excel Templates \u0026 Google Sheets Templates | ExcelSheets.net","version":"1.0","type":"link"}