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A cash flow financial projection template built specifically for professional services businesses.
Create investor and lender-ready projections in less than 1 hour!
Our ProjectionHub software has been used by over 30,000 businesses to develop financial projections. Based on this experience we decided to create a customized Excel template that makes creating lender-ready financial projections for professional services businesses easy.
Step 1: Start with our industry standard professional services model which is perfect for:
Contract/project based agencies
Step 2: Customize assumptions based on your specific business.
You can quickly customize dozens of assumptions including:
Add your contracts/jobs: Add cash flow assumptions for each job
Financing Terms: Loan and investment terms
Growth Rates: Change your growth rates
Margins: Adjust your expected gross profit margins
Customize Timelines: Timing is everything for project based companies cash flow
Overhead: Add your overhead expenses and monthly cash outflows
What is included in the model?
Unlocked Excel file: All equations are visible and editable
1 year: Up to 1 year of daily cash flow projections
Predict cash crunches: See specific days when you might run short on cash
Bank ready: Impress your bank with project level cash flow projections
Prove your need for a line of credit: The model will demonstrate to a lender why you need a line of credit and when you will be able to revolve the line.
Graphs, tables and charts: Includes helpful summary graphs and charts
As an entrepreneur you have 1,000 things to figure out.
Save your brain cells from the spreadsheet pain, and just take our template!