The Budget Forecasting templates for Excel allow the forecasting and analysis of budgeting data for a 12 month time period. Calculations and formulations are pre-programmed to automatically generate powerful budgeting reports.
Budget Forecasting templates for Excel are designed for personal budget planning and analysis but can be equally applied to business related budgeting and financial planning.
Excel Worksheets and Templates include:
12-Month Budget Template (Planned, Actual, and Variance analysis).
Monthly and Annual Analysis.
Income Allocation Analysis.
Expense Distribution Analysis.
Net Worth Calculator.
Debt-To-Income Ratio.
Debt-To-Asset Ratio.
Basic Liquidity.
Life Insurance Needs.
Retirement Needs.
Monthly and Yearly Income Allocation Chart.
Monthly and Yearly Expense Allocation Chart.
Easy To Use The budget forecasting templates for Excel are professionally designed Microsoft Excel Visual Basic Application (VBA) Programmed Templates. VBA programming enables software to have true flow-through functionality, professional reporting, enhanced graphics and charts, and control panels and drop down selection options for easy navigation. Simply enter the data and let the templates do the rest. All calculations and formulations are pre-programmed and will generate powerful reports that tell you where your money is going and where it is coming from.
Customizable Budget Forecasting templates for Excel can be customized to meet your unique individual, family, or business needs. Cell names can be changed on the main budget page and all changes will flow-through to other pages.
Powerful Reporting The budget forecasting templates deliver concise and professional reports that clearly convey the numbers effectively. Whether the goal is to communicate financial state or identify spending trends, these powerful reports will get the job done.
Data Analysis and Comparison Charts and other tools are included that help to clearly analyze, compare, and contrast.