The 10-Year Financial Model for Established Businesses with P&L, Cash Flow, and Balance Sheet is a comprehensive and accessible tool crafted to offer existing businesses a clear, dynamic, and customisable financial roadmap. Whether you’re a business owner new to financial modelling or a seasoned investor, accountant, or financial analyst, this model is designed for ease of use.
From experience, we have seen that many clients, funders, and investors want to see projections with a longer time horizon. This is especially true for projects and industries that normally shows a rate of return at a later stage, e.g., property, renewable energy, technology, and manufacturing.
All formulas are fully visible and editable, empowering users to track calculations, understand the linking between sheets, and make any necessary customisations to suit their unique needs. This transparency ensures the model is not a black box but a clear, auditable tool.
Even users with basic Excel knowledge can seamlessly navigate and input key data.
This model is perfect for established businesses, offering essential tools to validate business viability, understand funding needs, and present an investor-ready financial projection.
Whether you sell products, services, or a combination of both, this model’s flexibility adapts to your unique business operations and funding requirements.
This model also allows users to input up to two previous years’ actual balances from audited financial statements or management accounts, ensuring realistic forecasts where closing balance sheet items from the last financial year become the opening balances for forward projections. This setup allows for accurate ratio and growth/variance comparisons, such as sales growth, gross profit, and net profit, with historical figures. Additionally, existing loans, debt, and equity are seamlessly incorporated into the projections.