How can I use Exl-Plan to produce regularly updated cashflow projections?
In theory, you could advance the start date for Exl-Plan’s projections and then revise all its projections by shifting assumptions forward individually and in small batches. In practice, this could be very time-consuming and error-prone. Instead, have a look at Cashflow Plan, our range of fully-integrated specialist cashflow planners which generate projections for 12 months ahead and incorporate a roll-forward facility to simplify regular updating of projections.