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CASH FLOW INTELLIGENCE FOR SMALL BUSINESS

Cash Flow Analyzer Pro

Turn Excel or CSV cash activity into a management-ready cash flow report with runway, burn rate, shortfall warnings, scenario forecasts, risks, opportunities, and prioritized recommendations.

View sample report Download sample
✓ 3 / 6 / 12-month forecast✓ Best / Expected / Worst scenarios✓ Cash runway and shortfall alerts✓ PDF · Print · Excel
CASH FLOW HEALTHSheetWise AI
82/100
Healthy
Closing cash$184K+$31K
Runway7.4 moStable
Net flow$31KPositive

Executive insight: Cash generation remains positive, but the expected scenario shows a temporary pressure point in month four.

SEE THE FINAL RESULT

A complete cash position report, not another spreadsheet.

Show owners and managers exactly where cash is coming from, where it is going, how long it will last, and what actions should happen next.

Cash Flow Analyzer Pro report with cash health score, opening and closing cash, inflows, outflows, runway, scenario forecast, shortfall warning, risks, opportunities, and recommendations
01

Cash position

Opening cash, inflows, outflows, net cash flow, closing cash, runway, and burn rate.

02

Scenario planning

Best, expected, and worst forecasts across 3, 6, or 12 months.

03

Management actions

Shortfall alerts, risks, opportunities, and prioritized recommendations.

LIVE ANALYSIS WORKSPACE

Build the cash flow report

Upload transaction-level or monthly summarized cash data. The analyzer automatically detects dates, inflows, outflows, and balances.

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UPLOAD CASH FLOW DATADrop Excel or CSV here

Recommended columns: Month or Date, Cash Inflow, Cash Outflow, Opening Cash, Closing Cash, Category, Department, and Notes.

HOW IT WORKS

From raw cash data to a decision-ready forecast.

01

Upload

Use bank exports, accounting summaries, or a monthly cash flow workbook.

02

Analyze

SheetWise identifies cash movement, runway, burn, volatility, and pressure points.

03

Forecast

Review best, expected, and worst scenarios over 3, 6, or 12 months.

04

Act

Print, export, or share a professional report with prioritized actions.

BUILT FOR REAL BUSINESS DECISIONS

See problems early and protect working capital.

Prevent cash surprises

Identify the first forecast month where cash becomes dangerously low or negative.

Understand runway

Estimate how many months the business can operate at the current burn rate.

Compare scenarios

Stress-test revenue and expense assumptions without rebuilding the spreadsheet.

Improve collections

Spot weak inflow trends and prioritize receivables, deposits, and payment timing.

Control outflows

Highlight spending growth, recurring cost pressure, and avoidable cash leakage.

Communicate clearly

Create a management-ready report for owners, partners, lenders, or advisors.

FAQ

Cash Flow Analyzer Pro questions

What data can I upload?

Excel or CSV files containing monthly or transaction-level dates, cash inflows, cash outflows, balances, categories, departments, or notes.

How is cash runway calculated?

The analyzer compares available closing cash with average monthly negative cash consumption. When the business is cash-positive, runway is shown as stable rather than artificially limited.

What do the scenarios mean?

Expected uses the detected recent trend. Best assumes stronger inflows and controlled outflows. Worst applies weaker inflows and higher outflows to expose downside risk.

Can I use it without uploading a file?

Yes. Load the professional example to test every part of the report immediately.

Can I print or export the report?

Yes. The live report supports Print / PDF and Excel-compatible export.

Does it work on iPad and mobile?

Yes. Upload, analysis, report viewing, scenario switching, and printing are designed for desktop, iPad, and mobile screens.