Operations Dashboard - Cash Flow - Multi Page
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Cash Flow Operations Dashboard
Monthly Summary | Period: January 2024 - December 2024
| Month | Cash Inflow | Cash Outflow | Net Cash Flow | Ending Balance |
|---|---|---|---|---|
| January | $250,000.00 | $185,342.87 | $64,657.13 | $64,657.13 |
| February | $240,890.50 | $192,750.12 | $48,140.38 | $112,797.51 |
| March | $265,000.00 | $218,437.95 | $46,562.05 | $159,359.56 |
| April | $278,900.73 | $240,188.67 | $38,712.06 | $198,071.62 |
| May | $295,430.94 | $256,873.45 | $38,557.49 | $236,629.11 |
| June | $302,780.45 | $278,500.32 | $24,280.13 | $260,909.24 |
| July | $315,678.34 | $289,345.10 | $26,333.24 | $287,242.48 |
| August | $310,550.99 | $267,430.61 | $43,120.38 | $330,362.86 |
| September | $297,550.18 | $274,105.94 | $23,444.24 | $353,807.10 |
| October | $325,890.66 | $294,876.45 | $31,014.21 | $384,821.31 |
| November | $350,765.29 | $307,467.89 | $43,297.40 | $428,118.71 |
| Total (Year) | $3,564,037.08 | $3,009,918.41 | $554,118.67 | $428,118.71 |
Cash Flow Operations Dashboard
Detail Analysis & Key Metrics | Period: January 2024 - December 2024
| Category | Jan | Feb | Mar | Apr | May | Jun |
|---|---|---|---|---|---|---|
| Sales Revenue (Direct) | $200,000.00 | $195,435.89 | $215,763.48 | $234,765.91 | $248,700.00 | $263,158.94 |
| Recurring Subscriptions | $35,678.45 | $37,890.50 | $40,123.67 | $42,190.45 | $43,987.66 | $45,876.55 |
| Other Income (Misc.) | $14,321.55 | $7,990.64 | $8,000.89 | $12,375.87 | $12,643.28 | $13,754.96 |
| Total Cash Inflow | $250,000.00 | $241,317.03 | $263,888.04 | $289,332.23 | $305,340.94 | $322,790.45 |
| Category | Jan | Feb | Mar | Apr | May-Jun (Combined) | |
|---|---|---|---|---|---|---|
| Salaries & Wages | $85,000.00 | $87,543.21 | $92,134.67 | $95,647.89 | $183,000.12 | |
| Operating Expenses | $45,342.87 | $46,789.56 | $50,198.30 | $51,234.78 | $101,433.08 | |
| Inventory Purchases | $40,567.95 | $52,478.21 | $68,034.98 | $71,310.09 | $139,355.07 | |
| Loan Repayments | $12,486.56 | $13,892.10 | $15,300.78 | $17,456.39 | $32,846.97 | |
| Total Cash Outflow | $183,400.38 | $199,703.08 | $225,668.73 | $235,649.15 | $456,635.24 | |
Cash Flow Operations Dashboard
Performance Indicators & Forecast | Period: January 2024 - December 2024
| KPI Metric | Value (Jan–Dec) | Target | Status |
|---|---|---|---|
| Cash Conversion Cycle | 48 days | < 50 days | On Target |
| Operating Cash Flow Margin | 15.6% | > 15% | Achieved |
| Net Cash Flow Growth (YoY) | 9.3% | > 8% | On Track |
| Cash Reserves Ratio (End of Year) | 1.3x | ≥ 1.0x | Exceeded |
| Days Sales Outstanding (DSO) | 42 days | < 45 days | Improved |
| Forecast Period | Cash Inflow | Cash Outflow | Net Cash Flow |
|---|---|---|---|
| Q1 2025 (Jan–Mar) | $759,083.47 | $680,914.63 | $78,168.84 |
| Q2 2025 (Apr–Jun) | $791,904.65 | $738,631.84 | $53,272.81 |
| Q1–Q2 Total (H1 2025) | $1,550,988.12 | $1,419,546.47 | $131,441.65 |
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