Cash Flow Budget – Construction

Professional Excel Templates for your Business

Cash Flow Budget - Construction

One-year Cash Flow Budget – forecast your immediate financing needs

This is a one-year cash flow planner for a construction company. This template will help you to manage cash inflows and outflows related to different building projects. Moreover, it allows building a schedule for materials purchases,accounts receivable and payable as well as other priority expenses (e.g. rent, insurance). Finally, the template helps to analyse the profitability of different projects as well as see the financial stability of the company based on the provided assumptions. It also provides a graphical interpretation of the projected cash flows.

If you need a template for another industry, which is not presented on our web-site, you might consider ordering a customized Cash Flow Budget. Please contact us at

Functionality of the Cash Flow Template:

  • project the daily cash flows of the company up to 1 year;
  • consider many company specific risk factors and predict their impact on the performance of the company;
  • easily import accounts payable and receivable data from your accounting system and change the scheduled dates of payment;
  • plan data for each construction project (approved estimates and other assumptions);
  • analyse the profitability of different projects;
  • plan material purchases;
  • quickly schedule major regular payments.

How to buy?

At first, we recommend that you see how the one-year Cash Flow Budget template looks in Microsoft Excel. To do so, just press the Demo button above and download a demo version, which is exactly the same as the real-life template (except for the formulas being password-protected).

Then just press the Add to cart button above and follow to the checkout!

For further cash flow management, we recommend that you have a look at some of our free templates. These could be useful for cash flow management needs of your company.

Let us do the work for you!


Contact our team if you’re looking for additional support with your company’s financial needs! You can request model adjustments for any template found on our website or request a completely customized financial template with your company’s data (operational budgets, cashflow projections, valuation models, cost analysis and other models).


Our company has over 12 years of experience as outsourced CFOs creating and improving financial models for different industries. Over these years we have worked with 500+ companies from 20+ countries in the world. We bet you won’t be able to name an industry we haven’t made financial models for.


The customization services are performed by the same team of analysts that organizes the Financial Modeling World Cup (our group’s company). The Financial Modeling World Cup is the world’s largest financial modeling competition, enjoyed by top-class modelers from all over the world. Our team is trusted by such big names as Microsoft, the main sponsors of the tournament, and ESPN who broadcast the tournaments to TV audience. You can learn more about FMWC here.

Drop us a line at and we’ll get back to you with an offer!


Have feedback or suggestions? Get in touch with our founder & CEO, Andrew Grigolyunovich, CFA:

1 review for Cash Flow Budget – Construction

  1. Dinh Fidom

    i’m impressed by the functionality of the template

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