The Successful Business Plans Financial Spreadsheets Kit contains a comprehensive suite of user friendly financial spreadsheets in Microsoft Excel. The spreadsheets are all pre-formatted and linked so that all you need do is insert some basic financial data and assumptions and the financial statements for your business plan will be generated automatically.
Profit and loss projections (for example) automatically flow through to the cash flow statement, balance sheet, sensitivity analysis, financial ratios and graphs. Additionally, the spreadsheets will automatically update by simply changing your base assumptions. This will allow you to readily test the sensitivity of you business plan.
It is not necessary to have any accounting or spreadsheet knowledge to develop your financial statements - simply follow the easy instructions provided with the templates. Financial Spreadsheets are provided covering your Production & Sales Forecasts, Cash Flow, Profit & Loss Statement, Depreciation Schedule, Balance Sheet, Sensitivity Analysis, Financial Ratios, Graphs and Assumptions.
Spreadsheet templates are provided for one, three and five year periods in monthly and yearly intervals. Simply select the spreadsheet most suitable for your requirements from the suite provided.
You can obtain a more detailed description and see samples of this product by clicking on the "details" button at the top of this page.
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