DryCleaning Excel Financial Model Template
Originally published: 29/09/2021 07:59
Publication number: ELQ-84771-1
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DryCleaning Excel Financial Model Template

This Financial Model has a five-year projection and provides the user with valuable information that he should use to make business decisions.

Description
DryCleaning Excel Financial Model Template

If you’re planning to start or growing a drycleaning business, it’s important to cut through the market and competition. To do this, you’ll need to make sure your financials organized and accurate from the start. By using this DryCleaning Excel Financial Model Template, you can understand how to best use startup funds. It’ll also help you decide how to divide resources and expand the business. We’ve outlined some essential financial planning reports and statements in this model to help you get started.

# Introduction

DryCleaning Excel Financial Model template contains the three financial statements including the cash flows and calculates the relevant metrics (Break-even Analysis, Diagnostic Tools, Project evaluation, and Charts). The financing options for the project include a standard long-term loan as well as an investment made by the investors and of course marketing sheet (include automated inbound and outbound marketing costs sheet which also contains how many customers will achieve as a result).

# Key Inputs of DryCleaning Excel Financial Model Template

1: The growth rate Price and Expense.
2: Revenue Assumptions.
3: Marketing Budget Sheet (which measures how many customers we get from marketing).
4: Average Payable and Receivable days your business is following.
5: Cost of Goods.
6: Fixed Asset and Capital Expenditure.
7: Tax Rate.
8: Investment table.
9: Loan table

# Key Features of DryCleaning Excel Financial Model Template

1: Input Sheet

This financial model template contains inputs that, when changed, impact the calculations and, therefore, the changes are applied to all relevant sheets. This financial model always has built-in flexibility to display different outcomes or final calculations based on this sheet’s changes.

2: Startup Summary

A start-up summary tab includes the total cost incurred at the start of business and capital expenditure, how much cash injected by the company so far, and based on the number of months the amount of investment required is calculated.

A Startup Summary helps you take a realistic view of your idea and double-check whether it’s the business has enough funds to support operations.

3: Monthly & Yearly Income Statement

The DryCleaning Excel Financial Model Template provides the monthly as well as yearly income statement structure and a framework for creating a full corporate forecasting model tailored to your particular business.

An integrated financial model is powerful since it enables the Financial Model user to change any assumption in one part of the statement in order to see how it impacts all other parts of the statements accurately and consistently.

The monthly Income Statement sheet of the DryCleaning Excel Financial Model Template is perfect for those who require regular reporting and details. Additionally, Income Statement contains all revenue streamlines with gross earnings, net earnings linked with a revenue analysis sheet to ensure accurate reporting.

Oak Business Consultants understands every School business’s goal. Therefore, we have developed a mechanism that helps business owners determine whether they are making profits or otherwise.

Furthermore, the Yearly Income Statement gives you complete insights into revenue and general & administrative expenses. The Yearly Income Statement also contains several graphs, assumptions, ratios, margins, net profit, earnings, cost of services, and profit after tax.

4: Balance Sheet

This balance sheet enables you to analyze your position of current assets, fixed assets, liabilities, and equity. This also allows you to monitor your accounts receivable, accounts payable, accrued expenses, etc. Therefore this specific, financial model gives you the perfect space to analyze your key financial balance accounts.

5: Cash Flow Statement

The Cash Flow Statement is the vital part of the three statements that report the cash spent and generated during a specific period. The Cash Flow Statements act as a bridge between the income statement and balance sheet by how money has moved in and out of the business.

# Three main sections of the Cash flow Statement:

1: Operating Activities: We have included all cash in and out related to the operations of the business.
2: Investing Activities: A cash from the disposal or an acquisition of an will include in this section.
3: Financing Activities: We have separately made a loan-related tab where you can enter all loan-related information thee. The tab is linked to Financing Activities of Cash flow Statement.

The Cashflow Statement in our Model contains a dedicated sheet to monitor and analyze your company cash-ins and out. This cash flow statement is based on several key inputs, such as Payable and Receivable Days, yearly income, working capital, long-term debt, net cash, etc. This calculation then computes your net cash flow, beginning and end cash balances. This is a perfect template for your company’s cash flow management.

6: Break-Even Analysis

A break-even analysis can help you measure how different scenarios might play out financially. For example, if you increase the marketing budget or add another employee to the payroll, how many extra sales will be needed to recover that additional expense?

We have included a Break-even analysis in our Financial Model which will help the user to determine sales. The break-even analysis will help you know at a glance, the profits generated at the various sales levels.

The Break-Even Analysis is the point where your total sales contribution refers to fixed cost at zero profit and loss. This Technique is primarily based on marginal costing, which behaves differently at various levels of output activity.

7: Project Evaluation

Since the table calculates Return on Investment, Investor’s Future Equity Share, and Cash Burn Rate Analysis, analyzing the company’s performance becomes easy to capture potential investors.

8: Diagnostic Sheet

This Diagnostic sheet is a new inclusion to our financial model. This automatically explains the condition of the business. For example, if your company’s profit is 30% of the total sales. The sheet will include favorable comments (As mentioned above in the picture). The comments automatically connected to the numbers of financial data in the income statement, balance sheet, and Cash flow. The Diagnostic Sheet is very helpful to give the company’s insights in just one line.

10: Dashboard

Users and readers respond and process visual graphs better than data. Furthermore, This dashboard provides you a graphical management tool that enables you to track all your relevant financial KPIs, improve cash flow management, and track expenses, sales, and net revenue in detail to meet and outperform the financial objectives of your business.

# The Benefits Of Our DryCleaning Excel Financial Model Template

1: Investor’s Friendly

All related investor metrics are included; therefore, investors will appreciate the full transparency on an Event Management financial model while considering to invest in your business.

2: Save Money & Time

This Financial Model excel template enables you to begin your startup planning with the least fuss and maximum of help. No composing equations and formulas, no designing, no programming, no outlining, and no costly outside specialists required. Plan the development of your business instead of around with insignificant techy things.

3: Easy To Use

It is incredibly easy and simple to use a financial model that will enable you to monitor the financial performance and valuation of future trends and decisions. Whether you have advanced or basic level financial knowledge, you can optimally use this model to make wise and smart decisions.

4: Understand the Viability of Each Single Item

Our DryCleaning Excel Financial Model Template will help you figure out which product categories and combinations bring an enormous benefit and which one ought to be improved. Hence, you will have to share the business measures for multiple items to assess the cost of goods sold, including the price of items themselves, their stockpiling, work, and other overhead expenses.

5: Graphical Visualization

In this model, all necessary Calculations and estimations are visually represented on a dashboard. You don’t need to move sheets to compare data.

# How To Use DryCleaning Excel Financial Model Template

For the purpose of making this model easy to use, Oak Business Consultant has designed this DryCleaning Excel Financial Model Template with maximum care. Each cell has a color code, and the input areas are all highlighted in peach color.

The User is only required to input data in color cells. All other cells are either helping calculations or results of the model. Therefore there is no need to change any other cell except colored cells.

# More About Financial Modelling:

Contact our expert if you are confused about buying our template. The experts can provide you a 15 min DEMO of the financial model.

# Consultation:

If you are not sure about the numbers, you can hire us as your consultants. We have a pool of Financial Experts who could advise numbers like growth rate, first-year operational expenses, employee headcount, sales capacity, etc.

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