|Home > Excel Business Solutions > Business Finance > Business Planning > Budget and Financial Forecasting||Share|
Excel Budget and Financial Forecasting
Rate this solution:(2.5/5 from 2 votes)
|The Budget and Financial Forecasting template for Excel is a tool to build a business budget and financial forecast for a start up business or an existing company. Financial reporting includes Income Statement, Balance Sheet, and Cash Flow Statement. |
The modeling consists of various integrated worksheets which are easy and quick to work with while providing powerful results. All the worksheets are controlled by Excel VBA code by processing the financial data and creating all the financial statements automatically.
The modeling is based on monthly budget data to create a budget plan and financial statements for which strategy simulations can be run on. The wide range of parameters and assumptions make it possible to revise the budget and financial forecasting based on what-if sensitivity analysis within a few minutes.
Key features of the Excel Budget and Financial Forecasting template include:
(Pricing is available on the next page)
(Updated on 2018-12-01)
Related Excel Solutions for Budget and Financial ForecastingDuPont AnalysisFinancial Analysis Income StatementFinancial Accounting Balance SheetFinancial Accounting Multiple Regression ForecastingForecasting and Prediction Forecast and Budget BuilderBusiness Planning Budget PlanningBusiness Planning Divisional Budget TemplatesBusiness Planning Business Plan FinancialsBusiness Planning Business Feasibility StudyBusiness Planning
|Share your thoughts and opinion with other users: Create Review|
Browse Main Excel Solution CategoriesBusiness Finance Financial Markets Operations Management Excel Productivity