RLCPlan 24 - your 24 period forecast template
Originally published: 08/09/2020 16:19
Last version published: 08/09/2020 16:20
Publication number: ELQ-88662-2
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RLCPlan 24 - your 24 period forecast template

Spreadsheet template for a 24-period financial forecast

Whether you are trying to manage department or corporate performance, or calculate your company's value, RLCPlan 24 can help your business achieve its goals.

Includes full financial statements - P&L, Balance Sheet and Cash Flow. Present your budget to Board of Directors, Shareholders or Lenders, or create a projection to obtain bank financing or equity funding.

Monthly or Yearly - Drive your business with 24 months of forecasts, or show the long term potential of your company with up to 24 years of forecasts.

Split your forecast or budget by department, division, product line or location - whatever works best for your business.

Use your current Chart of Accounts, or create a new one.

Translate up to 10 different transaction currencies into your reporting currency.

Do you need to provide detailed assumptions supporting your P&L and Balance Sheet? RLCPlan 24 gives you that too!

Comprehensive template - forecast at a detailed level for the following items:
- Sales
- Payroll and Employee Benefits
- Expenses
- Income Taxes
- Working Capital (Accounts Receivable, Accounts Payable, Prepaid Expenses, Deferred Revenues)
- Fixed Assets
- Debt and Equity
- Cash
- Start from an Opening Balance sheet to tie into your current financials.

Please email plan@rlcplan.com if you have any questions, or require a customized solution.

This Best Practice includes
1 Excel file

Acquire business license for $30.00

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Help business create a budget or forecast

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