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How to create a business forecast

business plan template excel free

How does one go about establishing a financial plan in the business-creation phase? Are there any free Excel tools or support? Where can you find help?

Establishing a financial plan is a key step when creating a business: it’s when you compare your idea to the reality of the figures, based on realistic assumptions in terms of business activity, investment, profitability, and organization. Normally, the financial plan is drawn up on the basis of the results of a market study.

It’s about making sure your business model is stable and viable. The business forecast is also intended to convince your investors: it must reassure them about your ability to be realistic, and even cautious.

A financial forecast usually contains:

How to make a financial forecast

First, making a financial forecast implies you will have validated certain hypotheses and have enough quantified data. For this, you’ll need to know:

Once all the figures are collected, it is possible to establish a financial plan. The following is generally done in the following order:

Use a free Excel tool to develop your own financial forecast.

WikiCrea offers you its free Excel tool to develop a financial plan easily. Click here to access the tool and read the procedure to follow: free excel business plan template

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