FastPlan provides a complete five
year financial plan using Microsoft Excel to create balance sheets,
income statements and cash flow forecasts.
With FastPlan you can forecast your investment finances, fixed asset
purchases, revenues, expenses, balance sheets and cash flows month by
month for five years.
Incorporating accounts receivable and payables and inventory and
FastPlan produces a complete five year schedule of balance sheets.
Monthly depreciation and loan interest and repayment schedules can
easily be incorporated into the five year plan.