Enhance your financial reporting with a free cash flow statement from the pivot table template and gain comprehensive insights into your business's cash flow.
Learn how to create a powerful cash flow statement in Excel for your business. Track your cash inflows and outflows with accuracy and identify trends, risks, and opportunities.
To gain insight into their financial health and progress, most companies need to prepare three essential reports – income statement, balance sheet and cash flow statement. Let's explore them one by one.
This advanced template brings a complete overview of your financial performance. You can see the complete overview of different KPIs, trends, and customer outliers. For more details use filters and immediately see what you're looking for.
Use this template to understand the main KPIs of your business: revenue, costs, and profit. For better analysis compare them to plan and analyze the trends over time.
Use this template to visualize your P&L in Excel with multiple levels using expand & collapse functionality in a table with integrated charts. Get the right context with automatic variances & up to three comparisons.
Visualize your company's financial position with table with integrated waterfall chart, custom calculations for invert & result, dynamic comments & automatic variances so that everybody know what is going on & why.