Monthly Indirect Cash Flow Statement
Monthly Indirect Cash Flow Statement Excel Template

Indirect Method Cash Flow

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MONTHLY INDIRECT METHOD CASH FLOW WILL HELP YOU


The Monthly Indirect Method Cash Flow is another way of presenting and calculating the cash flow statement for a company. The difference from the direct method is that it takes off from the Net Income as the first line item, and changes that impact the operating cash flow are then applied to the net income as the first step. Excel Dashboards has prepared this Indirect Method cash flow for CFOs and Controllers who prefer or are used to this method. In terms of function, it is identical to the direct method cash flow in that it details information about cash generated from operations, investment, and financing activities for the company, resulting in the net effect on a company's cash position.


MONTHLY INDIRECT METHOD CASH FLOW BENEFITS

 

Execute different scenarios

A Cash Flow Forecast reflects the net effect of different variables and assumptions on your business' ending cash balance. Therefore, sensitizing inputs such as wage levels, revenue growth rates, supplier costs, and so on, your ending cash balance will reflect the cumulative impact these variables will have on your cash flow. Furthermore, the projections will illuminate the timing of these changes and their impact. Running different scenarios in your Cash Flow Forecast Excel Template will allow you to assess and choose the best possible option for your business..

Monthly Indirect Cash Flow Statement Excel Template

Free Download Available! Get Indirect Method Cash Flow Format



Make more informed decisions



Sidestep Cash Flow problems thanks to forecasts

Every business' cash flow is akin to the main artery of the corporation's body. As such, monitoring and evaluating the cash flow is an essential activity, and should be conducted on a regular, monthly basis. To this, we present our Montly Cash Flow Statement Forecast model. With it, have an updated, real-time view of cash inflows and outflows within your business, as well as a detailed insight into what the next period looks like.

More than just giving an idea of your company's financial health at a glance, cash flow forecasting gives the immense benefit of sighting potential cash flow shortfalls ahead of time. This can save you and your business time and money lost, as prudent decisions can be made with foresight, and the proper actions be taken.




Provide regular, updated forecasts to external stakeholders such as banks



Make informed decisions on excess cash

Strategize about how to maximize your company's excess cash position by using our cash flow forecast. Whether you want to explore a reinvestment in the business, or an expansion into new market opportunities, our robust scenario analysis will assist you in determining the best course of action for your company.



Free Download Available! Get Indirect Method Cash Flow Format



Strategize on how to allocate any surplus funds



Spot potential cash shortfalls ahead of time.

Benefit from a built-in 'early threat detection system', in the form of our cash flow forecast. One of the most useful features, it allows users to see any upcoming shortages and subsequently, helps users decide on the best action to take.




Get ahead of cash shortfalls by anticipating through projections



Remove the pressure of computing calculations

Our Cash Flow Format template carries all formula writing, formatting, programming, and charting already built-in to its system! Simply key in your main assumptions and project forward.




Align the timing of accounts receivables and accounts payables



Be smarter about your time

Time is money, and our cash flow forecast template allows you to devote less time on financial modeling due to its efficiency, and more time towards customer service, product development,and business development.




Forecast upcoming expenses



Gain trust from external partners

By providing a monthy cash flow to your investors and lenders, this will cultivate a trust in your business's professionalism and capability. More than the bottom line profit, investors and lenders want to invest in the people behind a company, especially the C-suite level. Seasoned financiers know that this is where the future will come from; so, tap into the next level of financing options with our template. Demonstrate your awareness and professionalism, and reap the benefits of confidence, trust, and of course, greater capital.



Free Download Available! Get Indirect Method Cash Flow Format



Assess inflows from income and outflows from expenses for relevant periods



MONTHLY INDIRECT METHOD CASH FLOW BENEFITS

 

Make more informed decisions


Provide regular, updated forecasts to external stakeholders such as banks


Strategize on how to allocate any surplus funds


Get ahead of cash shortfalls by anticipating through projections


Align the timing of accounts receivables and accounts payables


Forecast upcoming expenses


Assess inflows from income and outflows from expenses for relevant periods


Be ready for the impact of any upcoming changes


Run, sensitize and analyze scenarios for your business


Secure sufficient liquidity position for future payments and obligations based on projections


 

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Lance

Comprehensive and simple tool

T
Theo Pal

Superb

J
Joseph

Cool

R
Ross

Top-notch

S
Sharon Rehman

Fantastic