
Publication number: ELQ-74368-1
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Cash Flow Financial Model & 13-Week Liquidity Simulator - Interactive HTML Tool
Project cash flow, manage liquidity risks, and calculate financing needs for products or services in minutes.
Further information
Provide an interactive, browser-based financial model for SME owners and consultants to project cash flow, manage liquidity risks, and calculate financing needs for product or service businesses without Excel formula errors.
Best suited for SME owners, founders, and business consultants needing an intuitive tool to forecast cash flow, evaluate working capital (CCC), and anticipate financing needs for either product-based or service-based businesses.
Not recommended for users requiring an editable .XLSX Excel file, full multi-year projections, or multi-company management in a single license. If you require multi-client or custom multi-year models, please contact me directly.
