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Financial Projection Model in Excel: Revenue, Expenses and Cash Flow Forecast

    5.00 /5.0
    User review
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See where your numbers are heading

I build a clean model so you can test scenarios and plan with confidence.

What is included

  • Assumptions sheet you can change
  • Revenue, cost and profit forecast
  • Cash flow summary
  • Charts and a summary page
  • Short guide

How it works

Share your assumptions or rough numbers. I build the model and walk you through it in notes.

Frequently asked questions

Is this financial advice?

No. It is a spreadsheet tool based on your assumptions. Consult an accountant for advice.

No. Forecasts depend on the assumptions you provide.

Excel, and Google Sheets on request.

Yes. The inputs are in clearly marked cells.

4 Client reviews

( 5.00 Overall rating )
5.0
(2 weeks ago)

Sample review: Dylan Hart, United States. Saved me hours every week. Clear updates along the way and nothing was missed.

5.0
(2 months ago)

Sample review: Rachel Adams, United Kingdom. Fair price for the quality. Good communication and delivered when promised.

5.0
(5 months ago)

Sample review: Liam Foster, United States. Understood our goals quickly and delivered measurable improvements. Highly professional.

5.0
(6 months ago)

Sample review: Greg Holland, United States. Understood our goals quickly and delivered measurable improvements. Highly professional.