Quick Five Year Financial Plans Plus Ratios
FastPlan provides a complete five-year financial plan using Microsoft Excel to create balance sheets, income statements and cash flow forecasts.
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.
- No previous accounting experience is necessary. A tutorial edition in the zip file shows you what goes where.
- Users can input five-year forecasts outputs into the Company Valuation spreadsheet to value a business using Sales multiples, EBIT multiples and price earnings multiples.
- Multiple ratio valuation benchmarks are provided so that the user can obtain a current value for a business purchase or sale.