Professional Excel Templates for your Business
Free Cash Flow Valuation Template
The free cash flow valuation template helps to create a business plan for 5 years, allowing to project the first two years on a monthly basis, as well as estimate enterprise and equity values under certain assumptions.
The free cash flow valuation template includes following worksheets: PL (Income Statement), BS (Balance Sheet), CF (Cash Flow), Financing, CapEx, Use of Funds, and Valuation. These are very powerful reporting and analysis sheets for any business. These sheets are adjustable for your company’s specific needs. Any business that does not have these basics will never have any idea of how they are really doing and will certainly never get a loan or other funding.
The free cash flow valuation template also automatically creates a cashflow statement, taking into account the numbers from the income statement and the balance sheet.
If you wish to see how this free cash flow valuation template looks in Microsoft Excel you can download a demo version. The demo version is exactly the same as the real template; however, you will not be able to change anything in this version.
If you need customization of this valuation template, click here to purchase some customization hours.