Cash Flow Forecasting and Budgeting

Use this calculator to project cash inflows and outflows across 12 months. Contact us if you would like to discuss the results in more detail.

Months

1 2 3 4 5 6 7 8 9 10 11 12 Total
Receipts
Sales
Bank interest received
Miscellaneous Income
VAT Refund
Payments
Advertising
Audit and Accountancy Fees
Bank Charges
Bank Interest Paid
Book-keeping & payroll
Rates and water
Carriage
Clothing Costs
Consumables
Direct Equipment Maintainance
Direct labour
Electricity
Fines and penalties
Fuel and Oil
Gas
Gasoil
HP interest
IT Costs
Insurance
Materials Purchased
Miscellaneous Expenses
Motor Repairs and Servicing
Office Machine Maintenance
Office Stationery
Outsourcing
Packaging
Professional Fees
Repairs and Renewals
Telephone
Wages
PAYE and NI
Taxation
Capital expenditure
Drawings/Directors loan Rep'ts
Loan repayments
VAT Payable
Cash flow
Net Cash Movement
 
Opening Cash Balance
 
Closing Cash Balance
 

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