Cash Flow Forecast for a business plan
Budget: £10 – £20 GBP
We are looking for help in creating a Cash Flow Forecast for a business plan aimed to get a start-up loan for a UK based Limited Company. I have a template for the CFF, performance objectives and documents of financial performance to date (Profit and Loss Report, Trial Balance Report and Statement of Cash Flow Report).
Our budget is around £35
Our budget is around £35