Pro Forma Cash Flow Statement Template - Excel and Google Sheets

Utilize our pro forma free cash flow statement template to effortlessly generate a well-crafted financial statement within minutes!

Free Pro Forma Cash Flow Statement Template

Leverage our free cash flow statement template to swiftly produce a refined financial statement in just minutes! Additionally, you can watch our step-by-step video guide to learn how to create a cash flow statement and witness a live example of a cash flow statement in action.

Easy-to-use excel pro forma cash flow template

This template is designed to effortlessly accommodate numerous custom sources of cash outflows, ensuring that all your outflows are clearly presented as line items. By summarizing all the cash and cash equivalents flowing in and out of your business, you can effectively organize your business's finances and gain a comprehensive view of your financial transactions.

What is a pro forma cash flow statement?  

A pro forma cash flow statement is a financial statement that illustrates the amount of cash coming in and leaving the company over a specific period.

How to prepare a pro forma cash flow statement?  

To create a pro forma cash flow statement, you need to list the cash inflows received by the company, such as sales, investments, loans, and customer deposits, as well as the cash outflows, including expenses, loan repayments, investments, and asset purchases.

What is the purpose of a pro forma cash flow statement?  

The purpose of a pro forma cash flow statement is to provide insight into how and where cash is generated and utilized within a business over a given time frame. It reveals whether a business is cash flow positive or negative, as even profitable businesses can experience negative cash flow.

What are the 3 sections of a pro forma cash flow statement?

The pro forma cash flow statement comprises three sections: cash flow from operating activities, cash flow from investing activities, and cash flow from financing activities.

What does a pro forma cash flow statement show?  

A pro forma cash flow statement presents the cash flow generated or utilized from operating activities, financing activities, and investing activities. Ultimately, it showcases the total cash amount that entered or exited the company during the specified period. You can find an example of a cash flow statement from one of our premium financial models below.

Get the Template!

Check out our Highly Rated Financial Projection Templates

★★★★★
“ProjectionHub built projections for my online platform before I pitched to investors. Their model has everything you need – a full revenue model, models for operating expenses, investments, asset purchases, employee expenses, dividends, etc., which all work together to create your projected financial statements. The final product was easy to read and follow and helped me tell the story of my business to potential investors."
Lavell Juan
Founder & CEO, Brag House
★★★★★
This spreadsheet was an encouragement to me as well as a great help securing needed finances. 100% recommended. 5/5 stars.
Kandi Nichols