This template projects the key financial figures for a company over five years. The projections include abbreviated income and cash flow statements, and a balancesheet.
Enter the beginning year of the analysis into the cell provided. The other year headings will be calculated automatically. Please note that the entry cells for "Cash outflow" require negative numbers.
To view the template, click the worksheet tab labeled Template at the bottom of the screen or press Ctrl-PgDn. With the exception of data entry cells, all cells are protected. Use the Tab key to move from one unprotected cell to the next.