Sample Excel Dashboard for Cash Flow Analysis Report (2024)

Introducing a dashboard template for analyzing cash flows within the business. Every enterprise must perform at least two functions for managing financial flows. What is the difference between an accountant and a financier? The accountant is more involved in managing external finances, such as tax accounting. The financier is more concerned with internal finances. Therefore, this dashboard aids not only the business owner but also the financial specialist. This visual report clearly presents information on how funds move within the company over a specified period of time.



Structure of the Cash Flow Analysis Dashboard

The dashboard grid consists of six blocks with data visualization. Some of them have global and local data filter control elements, resulting in an interactive report.

Accounts Receivable

The first block is designed for the analysis of monthly accounts receivable:

Sample Excel Dashboard for Cash Flow Analysis Report (1)

This is a standard chart with markers, but it has a global "Slicer" control element. It allows implementing data selection for a specific period of months. By controlling the global element, we manage the entire dashboard on all its screens. As a result, the selected data for a certain number of months will be updated on all dashboard charts and will correspond to the specified filter criteria.

The chart design does not include the Y-axis, so the values for the current selected month are displayed above each marker. Additionally, the total accounts receivable value of 4,770 is located in the upper right corner of the chart.

Accounts Payable

Below is a block of visualization for monthly company accounts payable:

Sample Excel Dashboard for Cash Flow Analysis Report (2)

This block does not have any control elements but is subject to global control from the upper block. The "Slicer" filter for monthly data selection applies to it. Otherwise, the chart has a similar structure. It differs only in color and data source. For visual analysis, it is better to always place charts on accounts payable and accounts receivable side by side.

Balance of Debit and Credit Obligations to the Business

Sample Excel Dashboard for Cash Flow Analysis Report (3)

This visualization block is convenient for performing a visual comparative analysis of accounts receivable and accounts payable indicators. There are a total of 12 pairs of indicators, which are sorted in descending order. This provides an opportunity to compare the largest and/or smallest monthly indicators to assess the difference between accounts receivable and accounts payable.

In this situation, the highest credit debt indicator is slightly higher than the debit debt indicator, as shown in the figure above. This is not critical yet but already requires attention to take necessary measures in a timely manner and avoid irreversible mistakes. There is still an opportunity.

This visualization block is subject to the influence of global filters for data selection by years and months.

Sales Ranking by Product Categories

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The horizontal histogram represents the volume of sales segmented by product categories. Each product category is ranked in descending order to form a ranking. In this situation, the Avant-garde category is the favorite. The category names correspond to the names of styles in which the product designs are executed.

Sales are the main source of financial flows in any business. Therefore, it is important to monitor them to assess the internal financial condition of the company. After all, even if the level of accounts receivable significantly exceeds the level of accounts payable, but sales are declining, in such a case, one cannot rely on a positive balance of the enterprise.

Sales Distribution by Product Categories

Sample Excel Dashboard for Cash Flow Analysis Report (5)

Since sales are the main source of internal financing for the company, they require special attention in cash flow analysis. Therefore, another pivot chart is dedicated to them on this dashboard. Here, we assess the shares that each product category (for example, 65,748 is 21%) occupies in the total sales volume of 314,724.

This visualization block contains its own local filter slice with limited authority to influence, which applies only to indicators within the block. We use it as a switch between categories to expose their values during visual analysis.

Analysis of Monthly Financial Reserves

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In the last data visualization block in the lower right corner of the dashboard grid, there is a bar chart for analyzing monthly financial reserves. This is also a very important indicator for analyzing internal cash flows. After all, even if the debit and credit balance is normal and even sales are growing, but the financial reserves of the company are at a low level, it indicates poor management of the business's financial resources.

The chart is controlled by global filters and provides the ability to select data by months and years.

Business Summary Report Design in Dashboard Style

If you look at the overall picture of the summary analytical report on cash flow, you can see all the filter buttons. Please note that in the upper right corner, there is a Slicer for switching between years. Using global slices, we filter data and make the report interactive to expand the possibilities of visual analysis. Filtering allows us to delve into a more detailed analysis of a specific accounting period. It also helps exclude statistical outliers, etc. Thus, optimize the data design for specific analytical tasks.

Sample Excel Dashboard for Cash Flow Analysis Report (7)

Sample Excel Dashboard for Cash Flow Analysis Report (8) Download

The visual style of the dashboard design is done in a modern business style. If it seems too dull to you, you can download its dark version from the previous article:

Free Download 5 business dashboard templates in Excel.

There, all 5 dashboards on all screens of the report template are more detailed, created as an application in MS Excel. Moreover, it is done without using macros, only with the help of standard formulas and functions. All algorithms are on the "Processing" sheet. The "Data1" sheet is filled with initial data for the enterprise. The "Control1" sheet contains pivot tables for creating filters.

Sample Excel Dashboard for Cash Flow Analysis Report (2024)

FAQs

How do I create a cash flow report in Excel? ›

  1. Step 1: List the Business Drivers of Your Cash Flow Forecast. ...
  2. Step 2: Create a Monthly Cash Flow Model. ...
  3. Step 3: Use Simple Excel Formulas to Build a Cash Flow Model. ...
  4. Step 4: Summarise Cash Flow Projections into Tables and Graphs. ...
  5. Step 5: Forecast Equity Financing Requirement and the Use of Funds.
Sep 14, 2020

How to make an Excel financial dashboard? ›

How to create an Excel Dashboard
  1. Figure out which charts best represent your data. You know how we just said you'll be faced with tons of options to represent your data? ...
  2. Filter your data. ...
  3. Build your chart. ...
  4. Select your data. ...
  5. Double-check your data. ...
  6. Polish your chart. ...
  7. Repeat the process for other data.

Is there a dashboard template in Excel? ›

Template 1: Online Sales Tracker

This free Excel dashboard template is ideal for small to medium-sized online stores. The dashboard's simple interface lets you track cost and profit from sold items. It comes in a single sheet with chart elements like a bar chart and pie chart on top and the input rows at the bottom.

What should be included in cash flow report? ›

A cash flow statement provides data regarding all cash inflows that a company receives from its ongoing operations and external investment sources. The cash flow statement includes cash made by the business through operations, investment, and financing—the sum of which is called net cash flow.

What is the summary of the dashboard in Excel? ›

Summary. The Excel Dashboard is used to display overviews of large data tracks. Excel Dashboards use dashboard elements like tables, charts, and gauges to show the overviews.

What is dashboard in Excel with example? ›

An Excel dashboard is one-pager (mostly, but not always necessary) that helps managers and business leaders in tracking key KPIs or metrics and take a decision based on it. It contains charts/tables/views that are backed by data. A dashboard is often called a report, however, not all reports are dashboards.

Is Excel dashboard free? ›

The Ultimate Excel Dashboard is a combination of advanced functionality and beautiful design. This free version of the dashboard includes the full filtering functionality.

How do I create a dashboard in a spreadsheet? ›

To create a dashboard in Sheets, follow these steps:
  1. Collect your data. Input the data you want to summarize within a spreadsheet. ...
  2. Create a chart. ...
  3. Insert a new tab. ...
  4. Copy your chart. ...
  5. Add more charts. ...
  6. Format your dashboard.
Feb 3, 2023

What makes a good Excel dashboard? ›

Here are a few reminders to help you make the most out of your Excel dashboard.
  1. Keep your dashboard simple and easy to understand. ...
  2. Group related items together so users can quickly find information.
  3. Experiment with different styles and color schemes to get the best presentation for your data.

What is the difference between dashboard and report in Excel? ›

Reports tend to be broader and feature historic data. Because they must be delivered periodically, they represent a snapshot of a specific area or organization rather than its real-time situation. Dashboards, on the other hand, are built to visualize and organize data in real-time.

How to make a dashboard look professional? ›

Key Takeaways For Successful Dashboard Designs
  1. Consider your audience.
  2. Determine your goals.
  3. Choose relevant KPIs.
  4. Tell a story with your data.
  5. Provide context.
  6. Don't try to place all the information on the same page.
  7. Select the right type of dashboard.
  8. Use the right chart type.
Apr 5, 2023

Does Excel have a cash flow statement? ›

A cash flow statement in Excel will help you easily track your cash flow and identify trends, risks, and opportunities. Moreover, Excel provides flexibility and control over your data, enabling you to make changes quickly. In this guide, we will show you how to create a cash flow statement in Excel that does not suck.

Is there a cash flow function in Excel? ›

There are five: NPV function, XNPV function, IRR function, XIRR function, and MIRR function. Which one you choose depends on the financial method that you prefer, whether cash flows occur at regular intervals, and whether the cash flows are periodic. Note: Cash flows are specified as negative, positive, or zero values.

What is the formula for cash flow? ›

Free Cash Flow = Net income + Depreciation/Amortization – Change in Working Capital – Capital Expenditure.

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