Description
Take control of your business cash flow with this plug-and-play, automated dashboard designed for SMEs, startups, and growing businesses. Whether you’re a business owner, manager, or finance beginner, this tool makes monitoring cash inflows, outflows, and balances simple, visual, and actionable.
Key Features:
Automated Calculations: Enter opening balance, cash inflows, and outflows; closing balance and KPIs update instantly.
Executive Dashboard: See Total Cash Inflows, Total Cash Outflows, Net Cash Flow, and Current Cash Balance at a glance.
Visual Trends: Interactive chart shows cash flow over time, highlighting potential shortages or surpluses.
User-Friendly: No advanced Excel or accounting skills required – perfect for non-technical users.
Plug & Play: Ready to use with sample data and step-by-step “How to Use” instructions.
Benefits:
Make informed financial decisions without guesswork.
Track your business’s cash position weekly or monthly.
Prevent cash shortages and improve planning for expenses and investments.
Save time building your own cash flow tracking system.
Who Can Use It:
Small and medium-sized businesses
Startups and entrepreneurs
Non-finance managers
Consultants and project teams
Format: Excel (.xlsx) – fully editable and ready to deploy.
Why Buy:
Stop guessing and start seeing your cash clearly. This dashboard gives you control, insights, and confidence to grow your business sustainably.
Reviews
There are no reviews yet.