This cash flow projection template developed in microsoft® Word is a good addition for a business budget, business plan, forecasting or profit and loss statement. It creates sales forecasts in the course of a arrangement of management sales targets, historical sales and planned pricing trends. The sales plan forecasting in this template first examines pricing plans and defined sales targets and then examines trends in past sales where targets have not been located. It utilizes the linear regression on sales unit history to examine trends.
Version: Word 2007 or later
File Size: 22 KB
Following is the preview and download link of this free Detailed Cash Flow Projection Template,