Cash Flow Forecast Calculator

A cash flow forecast calculator can be a helpful tool for businesses of all sizes. By inputting information about income and expenses, the calculator can generate a projection of how much cash will be available in the future.

Simply add an opening bank balance with revenue less expenses for a selected period and calculate how much money you are left with at the end of the period.

From this calculation, businesses can get a clear picture of their short-term cash flow. This information can be used to make informed decisions about how to allocate resources and manage finances to avoid any future financial difficulties.

Try our simple tool right now and see how much cash flow you could be generating!

Need help?

Get in touch with our experts

Get support

Enter amount to calculate

Operating receipts:

Operating payments: