FASTPLAN 7.2 FOR EXCEL
FastPlan provides a quick and easy way to prepare business forecasts. No previous accounting knowledge is required.
FastPlan is a fully integrated Excel workbook that takes you step by step through monthly sales and expenses forecasts, through capital purchase budgets to balance sheets, income statements and cash flows.
You can vary working capital (cash requirements) by changing days sales outstanding, purchase days outstanding and inventory days outstanding.
FastPlan calculates monthly and annual depreciation and adds the totals into the p/l and balance sheet forecasts.
Provides a day by day cash flow report so that you keep track of cash inputs and expenditures every day every month.
FastPlan prepares financial ratios and annual forecasts for 5 years.
The download file contains a tutorial demo version which explains exactly what goes where to prepare your five year forecast. The file is zipped. After downloading double click to unzip to two standard Excel files. |