Treasury Solutions Templates

Filter By Topic :

Wondering which tool to choose the best cash flow tool to optimize your treasury operations? Download this scorecard to select the best-fit tool

Download Now

Use this net cash flow calculator to calculate your company’s operating cash flow, net cash flow(in/out), projected cash flow and the closing balance.

Download Now

Download these cash flow forecast excel templates and track your cash inflows and cash outflows on a daily, weekly, monthly basis.

Download Now

Download this Bank Scorecard Template to get better insights for treasurer’s on bank performance and make strategic planning.

Download Now

An Excel-based variance analysis template to calculate the variances between forecasts and actuals.

Download Now

An Excel-based vendor evaluation scorecard to select the vendor that achieves the highest score as the cash forecasting solution provider.

Download Now

Elevate your cash forecasting process to the next level with Automation