Calculate Cashflow for your business using the direct cashflow method

Particulars Amount Amount
Total Cash at the Beginning of Period
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Cash Flow From Operations:

0
Total Inflow from Operations delete Received from customers
delete Other Cash Receipts
Inflow 0
Total Outflow from Operations delete Inventory
delete Insurance
Outflow 0
Cash Inflow from Financing delete Sale of Property
delete Sale of Financing
delete Other Investments
Inflow 0
Total Outflow from Financing delete New Borrowing
delete Stock Issuing
delete Cash used for Other Investments
Outflow 0
Cash Inflow from Investments delete Sale of Property
delete Sale of Investments
delete Other Investments
Inflow 0
Total Outflow from Investments delete Capital Expenditure
delete Purchases
delete Cash used for Other Investments
Outflow 0
Cash at the end of the period 0

Visual Representation of your business Cashflow

Operational Activities
Investment Activities
Financing Activities

How to use the online cashflow generator

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Click “Generate” to Preview and “Download” to download the PDF

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Click “Show Chart” to view the visual representation of cashflow

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Download ready-to-use cashflow template

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Financial Analysis

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Download ready-to-use cashflow template

Customisation
Time Efficient
Financial Analysis

Effortless
Customisation

Time
Efficient

Improved Financial
Analysis

Direct Cashflow

Download Direct cashflow template to list all cash receipts and payments

Excel Word

Indirect Cashflow

Download Indirect cashflow template to list all cash receipts and payments

Excel Word

Enhance Your Cash Flow Management: Choose the Best Tool for Your Business!

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Real-time Updates
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Cash Flow Forecasting
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Scenario Planning
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Expense Tracking
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Revenue Projections
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Integration with Accounting Systems
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Reporting and Analytics
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Cash Flow Alerts
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Cost Efficiency
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Key Cash Flow Metrics

Category Description
Revenue Total income generated from sales or services.
Expenses Total costs incurred in operations, including fixed and variable costs.
Net Cash Flow Difference between total revenue and total expenses.
Operating Cash Flow Cash generated from regular business operations.
Investing Cash Flow Cash used in or generated from investment activities like purchasing assets.
Financing Cash Flow Cash received from or used in financing activities like loans or investments.
Cash Flow Forecast Projection of future cash inflows and outflows based on current data.
Break-Even Point Measure of how easily assets can be converted into cash.
Liquidity Percentage of revenue that exceeds expenses, indicating financial health.
Profit Margin Difference between current assets and current liabilities, showing short-term financial stability.
Working Capital Measure of a company's financial leverage, calculated by dividing total liabilities by shareholders' equity.
Debt-to-Equity Ratio Measure of profitability, calculated by dividing net profit by total investment.
ROI (Return on Investment) Amount of cash set aside for emergencies or unexpected expenses.
Payment Terms Agreed terms of payment between buyers and sellers, affecting cash flow timing.

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