Free Cash Flow Statement Templates (2024)

Accounts Payable Template

Free Cash Flow Statement Templates (1)

DownloadAccounts Payable Template

Excel | Smartsheet

This accounts payable template tracks suppliers, order numbers, and amounts due to help you manage payments and due dates. Easily organize ordering stock or supplies from multiple vendors with this template for greater efficiency and fewer errors.

Accounts Receivable Template

Free Cash Flow Statement Templates (2)

DownloadAccounts Receivable Template

Excel| Smartsheet

Don’t let balances owed to your business slip through the cracks. This template accounts receivable template lists customers, invoice tracking details, amounts due, and outstanding balances. Keeping track of these accounts can inform your collections process by helping you quickly identify which overdue payments have aged significantly.

Balance Sheet Template

Free Cash Flow Statement Templates (3)

DownloadBalance Sheet Template

Excel | Smartsheet

A balance sheet provides a summary of financial health in a single, brief report. With this balance sheet template, you can assess the financial standing of a business by examining assets, liabilities, and equity. Business owners can use it to evaluate performance and communicate with investors.

Income Statement Template

Free Cash Flow Statement Templates (4)

DownloadIncome Statement Template

Excel | Smartsheet

Use this income statement template to assess profit and loss over a given time period. This template provides a clear outline of revenue and expenses along with net income figures. You can edit the template to match your needs by adding or removing detail, and create an income statement for a large or small business.

Simple Cash Flow Template

Download Simple Cash Flow Template

Excel | Smartsheet

This template works for any length of time and allows you to compare different periods for a quick analysis of cash flows. It include sections for an itemized list of revenue and expenditures, automatic calculations of totals and net cash flows, and a simple layout for ease of use. You can modify the template by adding or removing sections to tailor it to your business.

3-Year Cash Flow Statement Template

Free Cash Flow Statement Templates (6)

Download3-Year Cash Flow Statement Template

Excel | Smartsheet

Use this statement of cash flows template to track and assess cash flows over a three-year period. The template is divided into sections for operations, investing, and financing activities. Simply enter the financial data for your business, and the template completes the calculations.

Monthly Cash Flow Template

Free Cash Flow Statement Templates (7)

‌ DownloadMonthly Cash Flow Template

This comprehensive template offers an annual overview as well as monthly worksheets. Create a detailed monthly cash flow report to analyze performance or plan for the future. Each month has a separate sheet so that you can get a thorough picture of cash inflows and outflows for both short- and long-term periods.

Daily Cash Flow Template

Free Cash Flow Statement Templates (8)

‌ DownloadDaily Cash Flow Template

Add receipts and payments to this daily cash flow template to get a deep understanding of business performance. You can customize the list of cash inflows and outflows to match your company’s operations.

12-Month Cash Flow Forecast

Free Cash Flow Statement Templates (9)

Download12-Month Cash Flow Forecast

Excel | Smartsheet

Use this template to create a cash flow forecast that allows you to compare projections with actual outcomes. This template is designed for easy planning, with a simple spreadsheet layout and alternating colors to highlight rows. You get a snapshot of cash flows over a 12-month period in a basic Excel template.

Quarterly Cash Flow Projections Template

Free Cash Flow Statement Templates (10)

‌ DownloadQuarterly Cash Flow Projections Template

Cash flow projection templates can cover a variety of time frames, including the quarterly format offered here. Quarterly projections are useful for new businesses and those wanting to align cash flow projections with upcoming goals and business activities. Use the template to create projections and then compare the variance between estimated and actual cash flows.

Cash Flow Analysis Template

Free Cash Flow Statement Templates (11)

‌ DownloadCash Flow Analysis Template

You can use this template to perform a cash flow sensitivity analysis in order to anticipate shortfalls and help your business maintain a positive cash position. This analysis can help you make more accurate cash flow predictions and inform your business decisions.

Discounted Cash Flow Template

Free Cash Flow Statement Templates (12)

‌ DownloadDiscounted Cash Flow Template

This template allows you to conduct a discounted cash flow analysis to help determine the value of a business or investment. Enter cash flow projections, select your discount rate, and the template calculates the present value estimates. This template is a useful tool for both investors and business owners.

Nonprofit Cash Flow Projection Template

Free Cash Flow Statement Templates (13)

‌ DownloadNonprofit Cash Flow Projection Template

This template is designed with nonprofit organizations in mind and includes some common income sources, such as donations and grants, as well as expenditures. The template covers a 12-month period and makes it easy to see annual and monthly carryover so that you can track a rolling cash balance. Create a detailed list of all receipts and disbursem*nts that are relevant to your organization.

Personal Cash Flow Template

Free Cash Flow Statement Templates (14)

‌ DownloadPersonal Cash Flow Template

Individuals can manage their personal cash flow with this free template. The simple layout makes it easy to use and provides a financial overview at a glance. Keep track of how you are spending money to gain more control over your financial habits and outlook.

Trial Balance Worksheet

Free Cash Flow Statement Templates (15)

DownloadTrial Balance Worksheet

Excel | Smartsheet

Use this trial balance template to check your credit and debit balances at the end of a given accounting period, and to support your financial statements. The template shows ending balances for specific accounts, as well as total amounts for the activity period and the overall difference. This is a simple worksheet that you can customize to reflect your business type and the products or services it offers.

Excel Bookkeeping and Cash Flow Templates

To help you get started creating a cash flow statement or forecast, we’ve included a variety of customizable templates that you can download for free. Simply adjust your chosen template to fit your specific goals and the intended audience. Each template offers a clean, professional design and is intended to save you time, boost efficiency, and improve accuracy. Just enter your financial data, and the templates will perform automatic calculations for you to analyze. By combining your cash flow statement with a balance sheet, income statement, and other forms, you can manage cash flow and get a comprehensive understanding of business performance. Smartsheet offers additional Excel templates for financial management, including business budget templates.

Elements of a Cash Flow Statement

A cash flow statement is typically divided into the following sections to distinguish among different categories of cash flow:

  • Operating Activities: Cash flows in this section will follow a company’s operating cycle for an accounting period and include things like sales receipts, merchandise purchases, salaries paid, and various operating expenses.
  • Investing Activities: Some examples of investing activities include buying or selling assets, making loans and collecting payments, and generating cash inflows or outflows from other investments.
  • Financing Activities: This section may include activities such as receiving money from creditors or shareholders, repaying loans and paying dividends, and selling company stock, as well as other activities that impact equity and long-term liabilities.

A statement of cash flows can summarize information for any accounting period, but if you’re starting a new business or planning for the months ahead, creating a cash flow projection can help you anticipate how much money your business will have coming in and going out during a future time frame.

Creating a Cash Flow Forecast

Projecting future cash flows can give you greater financial control, provide a deeper understanding of a company’s performance, help identify shortfalls in advance, and support business planning so that activities and resources are properly aligned. New businesses trying to secure a loan may also require a cash flow forecast.

In order to set yourself up for success, it’s imperative to be realistic when forecasting cash flows. You can build your projections on a foundation of key assumptions about the monthly flow of cash to and from your business. For instance, knowing when your business will receive payments and when payments are due to outside vendors allows you to make more accurate assumptions about your final funds during an operating cycle. Estimated cash flows will always vary somewhat from actual performance, which is why it’s important to compare actual numbers to your projections on a monthly basis and update your cash flow forecast as necessary. It’s also wise to limit your forecast to a 12-month period for greater accuracy (and to save time). On a monthly basis, you can add another month to create a rolling, long-term projection.

A cash flow forecast may include the following sections:

  • Operating Cash: The cash on hand that you have to work with at the start of a given period. For a monthly projection, this is the cash balance available at the start of a month.
  • Revenue: Depending on the type of business, revenue may include estimated sales figures, tax refunds or grants, loan payments received or incoming fees. The revenue section covers the total sources of cash for each month.
  • Expenses: Cash outflows may include your salary and other payroll costs, business loan payments, rent, asset purchases, and other expenditures.
  • Net Cash Flow: The closing cash balance, which reveals whether you have excess funds or a deficit.

Keep in mind that while many costs are recurring, you also need to consider one-time costs. Additionally, you should plan for seasonal changes that could impact business performance, and upcoming promotional events that may boost sales. Depending on the size and complexity of your business, you may want to delegate the responsibility of creating a cash flow forecast to an accountant. However, small businesses can save time and money with a simple cash flow projections template.

A More Collaborative Cash Flow Statement Template in Smartsheet

Using a template is essential to helping you get started managing your organization's financials quickly. But, creating and managing your cash flow statement may require multiple stakeholders to weigh in and make updates. That’s why it’s important to find a template with more advanced functionality like notifications and reminders and enhanced collaboration features to ensure everyone is kept in the loop. One such template is the cash flow statement template in Smartsheet.

Free Cash Flow Statement Templates (16)

A Smartsheet template can improve how your team tracks and reports on cash flow - use row hierarchy to sum line items automatically, checkboxes to track stakeholder approval, and attachments to store item details directly to the rows in your sheet. Easily create reports to roll up annual, quarterly, or monthly cash flow details so you’ll always have a real-time view of the financial health of your business.

See how easy it is to track and manage your cash flow statement with a template in Smartsheet.

Create a Cash Flow Statement in Smartsheet

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Free Cash Flow Statement Templates (2024)

FAQs

What are 2 cash flow questions that balance sheets can answer? ›

The balance sheet can help users answer questions such as whether the company has a positive net worth, whether it has enough cash and short-term assets to cover its obligations, and whether the company is highly indebted relative to its peers.

How do you prepare a free cash flow statement? ›

Free cash flow = sales revenue – (operating costs + taxes) – investments needed in operating capital. Free cash flow = total operating profit with taxes – total investment in operating capital.

How to fill out a cash flow worksheet? ›

There are 5 steps to complete the Cash Flow Worksheet:
  1. Review the cash flows options for the engagement.
  2. Define the closing cash and cash equivalents.
  3. Determine the number of analysis items.
  4. Complete the analysis items.
  5. Balance the Cash Flow Worksheet.

Does Excel have a cash flow template? ›

Free Excel Cash Flow Template

Our cash flow template helps measure your company's financial performance. It displays the cash that your company has on hand after deducting elements such as salaries, rent, purchase of assets (e.g. equipment), and costs from the company income.

What is cash flow statement answers? ›

Gives details about spending: A cash flow statement gives a clear understanding of the principal payments that the company makes to its creditors. It also shows transactions which are recorded in cash and not reflected in the other financial statements.

What is free cash flow for dummies? ›

Free cash flow, or FCF, is the money that is left over after a business pays its operating expenses (OpEx), such as mortgage or rent, payroll, property taxes and inventory costs — and capital expenditures (CapEx). Examples of CapEx are long-term investments such as equipment, technology and real estate.

What is the formula for calculating free cash flow? ›

What is the Free Cash Flow (FCF) Formula? The generic Free Cash Flow (FCF) Formula is equal to Cash from Operations minus Capital Expenditures. FCF represents the amount of cash generated by a business, after accounting for reinvestment in non-current capital assets by the company.

What is the formula for FCF in Excel? ›

Open Excel. Enter "Total Cash Flow From Operating Activities" into cell A3, "Capital Expenditures" into cell A4, and "Free Cash Flow" into cell A5. Then, enter "=80670000000" into cell B3 and "=7310000000" into cell B4. To calculate FCF, enter the formula "=B3-B4" into cell B5.

What is the easiest way to calculate cash flow? ›

To calculate operating cash flow, add your net income and non-cash expenses, then subtract the change in working capital. These can all be found in a cash-flow statement.

How to do a cashflow spreadsheet? ›

For each week or month in your cash flow forecast, list all the cash you have coming in. Have one column for each week or month, and one row for each type of income. Start with your sales, adding them to the appropriate week or month. You might be able to predict this from previous years' figures, if you have them.

What is the format of a cash flow statement? ›

The three sections of the cash flow statement are: operating activities, investing activities and financing activities. Companies can choose two different ways of presenting the cash flow statement: the direct method or the indirect method. Most use the indirect method.

What is the 12 month cash flow statement? ›

The 12-month cash flow statement is one of the three fundamental financial statements for a business. (The other two are the balance statement and the profit and loss statement.) Like a checking account statement, the cash flow statement shows the money going into and out of your business.

What are the two 2 factors that affect your cash flow? ›

Five factors that affect your cash flow timing
  • Collection of accounts receivable. An AR represents cash tied up that could have been used to run and grow the business. ...
  • Credit terms and trade discounts. ...
  • Enforcement of credit policy. ...
  • Purchase and sale of inventory. ...
  • Repayment of accounts payable.
Mar 19, 2019

What questions about cash are answered by the statement of cash flows? ›

Answer and Explanation:
  • By what means does an entity obtain its cash? - It records the inflow of cash and also specifies its activity from which it is generating cash inflow.
  • On what activities an entity spends its cash? ...
  • What is the overall change in cash and cash equivalents?

What are the 2 cash flow calculations? ›

Important cash flow formulas to know about:

Free Cash Flow = Net income + Depreciation/Amortization – Change in Working Capital – Capital Expenditure. Operating Cash Flow = Operating Income + Depreciation – Taxes + Change in Working Capital.

How does cash flow relate to balance sheet? ›

The balance sheet shows a snapshot of the assets and liabilities for the period, but it does not show the company's activity during the period, such as revenue, expenses, nor the amount of cash spent. The cash activities are instead, recorded on the cash flow statement.

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