Liability limited by a scheme approved under Professional Standards Legislation


Latest Accounting News
Restructuring Family Businesses: From Partnership to Limited Company
Choose the right business structure step-by-step guide
ATO’s holiday home owner tax changes spur taxpayers to be ‘wary and proactive’
Payday Super part 1: understanding the new law
A refresher on Medicare levy and Medicare levy surcharge.
Protecting yourself from misinformation
Super gender gap slowly narrows
Countries with the largest collection or eucalyptus trees
Benchmarks for small business
Right to Disconnect
There’s $18.9 billion in lost and unclaimed super - some may belong to you
Small businesses remain optimistic despite high stress, report reveals
Tax and your child’s money: what parents need to know including TFNs
How to declare minor children’s income
Net cash flow tax: What is it and what will it mean for SMEs?
Bribery, brothels, breaches of confidence: ATO officer loses appeal against imprisonment
Why Culture Matters (Even in Small Teams)
How to detect and prevent elder abuse when advising older clients: RSM
Div 296 must be considered ‘holistically’, IPA says
Working out your Work From Home (WFH) expenses – 2025 Rules
Accrued leave: take a holiday or take the payment?
Franchising and Leasing: Legal Issues to Consider When Securing a Location
Airplane Fuel Consumption Per Minute
‘Results in paying more tax’: ATO warns Australians against early super access
Employee or Contractor ?
Inherited assets: what you need to know about pre-CGT v post-CGT investments
WHS and OHS Regulatory Update: August 2025
HECS/HELP debt reduction Bill introduced
Non deductibility of ATO interest charges for businesses
How safe is your business from scams
About the cash flow forecasting template

A cash flow forecast is the most important business tool for every business.



The forecast will tell you if your business will have enough cash to run the business or pay to expand it. It will also show you when more cash is going out of the business than in.


Our cash flow forecasting template is an Excel spreadsheet that you can use to forecast and record cash flow. The worksheet will update your figures as you type.


The template has 4 tabs:


  • example cash flow worksheet
  • details estimated cash flow
  • summary estimate cash flow
  • estimated versus actual results

 


 


 





13th-May-2022