Key Features:
Structured cash flow matrix to analyze inflows and outflows.
Automated calculations for net cash flow projections.
Customizable categories for expenses and revenues.
Graphical visualizations for quick financial insights.
Printable and shareable format for financial planning.
Use Cases:
Business owners managing operational cash flow.
Financial analysts performing liquidity assessments.
Startups & investors evaluating cash reserves.
Individuals & families tracking income vs. spending.
How It Works:
Enter income and expense details in structured categories.
Monitor cash flow trends using automated calculations.
Identify surplus or deficit areas for financial adjustments.
Use visual charts to analyze cash performance over time.