Cash Flow Startup Template | Excel & Google Sheets Business Finance Tracker | Startup Cash Flow Forecast | Income Expense Budget Planner
Regular price
$23.00
Regular price
$23.00
Sale price
$46.00
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Overview
Manage your startup’s finances with confidence using the Cash Flow Startup Template, designed for both Excel and Google Sheets.
This professionally built, automated spreadsheet helps startups, entrepreneurs, and small business owners plan, track, and forecast cash inflows and outflows with accuracy.
Whether you’re creating a financial forecast for investors or planning your monthly cash flow, this template gives you a clear, visual overview of your business’s financial health.
What You’ll Receive
1 Editable Excel File (.xlsx)
1 Google Sheets Access Link
Step-by-step setup guide
Lifetime access to your files
What’s Inside the Template
Cash Flow Dashboard
Displays total inflows, outflows, and net cash flow automatically
Includes clear charts and visuals for financial insights
Shows cumulative balances for accurate cash position tracking
Revenue & Expense Projection
Plan and forecast multiple income sources
Estimate both fixed and variable expenses
Auto-calculating totals with editable fields
Investment & Loan Management
Record investor funding, capital injections, and loan repayments
Keep track of financing activities with precision
Monthly Breakdown
Automatically summarizes financial data by month
Compare forecasts with actual results for better performance analysis
Startup-Focused Design
Built specifically for new and growing businesses
Fully automated formulas — no manual calculations required
Easy to use in both Excel and Google Sheets
Key Features
User-friendly layout for easy data entry
Automated formulas for accurate calculations
Dynamic charts for financial visualization
Editable and customizable for any business type
Compatible with Excel and Google Sheets
Collaboration-ready for teams and partners
Benefits & Functions
Financial Clarity: Understand your startup’s financial position and cash flow trends.
Strategic Planning: Plan budgets, expenses, and investments with accuracy.
Investor Ready: Generate clean reports for presentations and funding meetings.
Efficiency Boost: Save time with automated updates and smart calculations.
Continuous Improvement: Analyze and optimize cash flow management over time.
How to Use
Download the files after purchase.
Open in Excel or Google Sheets.
Enter your income, expense, and funding details.
The dashboard updates automatically with visuals and summaries.
Review insights to guide decision-making and planning.
Perfect For
Startups and new businesses
Entrepreneurs and consultants
Financial planning and forecasting
Budget and cash management
Investor reporting
Compatibility
Microsoft Excel (2016 or later)
Google Sheets (any device)
Works on Windows, Mac, and mobile
Important Details
This is a digital product; no physical item will be shipped.
Instant download after payment confirmation.
Editable and reusable for multiple projects.
Due to the digital nature of this item, refunds are not available.
Simplify Startup Financial Management
Plan, forecast, and manage your startup’s cash flow with accuracy and insight. The Cash Flow Startup Template gives you the tools to make informed decisions, monitor growth, and achieve long-term financial stability.