FastPlan provides a complete five year financial plan using Microsoft Excel to create balance sheets, income statements and cash flow forecasts. Also included in the CD edition are our Company Valuation spreadsheets using multiple ratios to obtain valuations, plus a complete Agreement to Buy or Sell a Business (legal Agreement template Word file).
With FastPlan you can forecast your investment finances, fixed asset purchases, revenues, expenses, balance sheets and cash flows month by month for five years.
Incorporating accounts receivable and payables and inventory and FastPlan produces a complete five year schedule of balance sheets. Monthly depreciation and loan interest and repayment schedules can easily be incorporated into the five year plan.
Outputs include a Management summary covering the five year period containing all the ratios and multiples. |