13-Week Cash-Flow Forecast

Build a rolling short-term liquidity forecast to avoid cash surprises

13-Week Cash-Flow Forecast
Build a rolling short-term liquidity forecast to avoid cash surprises
ℹ️ About this tool

Builds a rolling 13-week direct cash-flow forecast, week by week, flagging the weeks you may run short and the levers to close gaps. Use it to stay ahead of liquidity. For a full-year P&L plan, use the Annual Operating Plan Builder.

📄 Free guide — what this is, how to use it & cautions

Fill in each detail below as completely and accurately as you can — the more you provide, the more precise and ready-to-use your output will be. * marks required fields.

Your opening cash and the known inflows (collections, expected receivables) and outflows (payroll, rent, GST, loan) with their timing.

Delivery & Payment Details

Used for your receipt. Your result appears on-screen and is downloadable as Word & PDF.

Order Summary

13-Week Cash-Flow Forecast₹83.90
GST 18%₹15.10
Total₹99.00

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