CASHFLOW FORECAST GRAPH TEMPLATE – Excel & Google Sheets
This Cashflow Forecast Graph Template provides a clear visual breakdown of income, expenses, and overall cash position over time. Designed for business owners, financial planners, and analysts, it helps you track cash movements, identify trends, and make informed decisions using intuitive graphs and automated layouts.
With easy data input, automatic visualization, and structured analysis tools, this template simplifies cashflow reporting for both short-term and long-term planning.
What You’ll Receive
Editable Excel (.xlsx) file
Google Sheets version
Cashflow graph dashboard
Visual charts and trend analysis layout
Automated formulas and structured data fields
Key Features
Graphical representation of cash inflow, cash outflow, and net balance
Time-based visual analysis for monthly or annual trends
Scenario comparison for evaluating different financial conditions
Customizable graphs, labels, and data formats
Clean, easy-to-read dashboard for reporting and review
Inside the Template
Visual cashflow summary with pie charts and bar graphs
Trend lines showing growth and decline
Cash inflow and outflow breakdown
Data input section with pre-built formulas
Clear presentation for tracking financial health
Benefits and Functions
Provides visual clarity for complex financial patterns
Delivers quick insights through automated charts
Helps communicate financial information effectively
Supports decision-making with scenario-based analysis
Makes it easy to present cashflow trends to teams or clients
Why This Template
Crafted for professionals and business owners, this template turns raw data into easy-to-understand visuals. It enhances financial planning accuracy and streamlines cashflow reporting for any type of business.
How It Works
Download your files after purchase
Open in Excel or Google Sheets
Add your inflow and outflow figures
Graphs and dashboards update automatically
Support
If you need adjustments or customization, feel free to reach out anytime.