12-month cash-flow planner
Track opening cash, receipts, payments and monthly closing cash.
R0
Templates & calculators
Practical resources designed around the real admin, finance and reporting needs of a growing business.
Track opening cash, receipts, payments and monthly closing cash.
Model cost, markup, VAT and gross profit before setting a price.
Manage purchases, sales, reorder levels and stock on hand.
Professional branded templates with VAT calculations.
Turn monthly data into visual management information.
Cash flow, pricing, invoices, stock and performance reporting.