Limousine Taxi Financial Model Excel Template
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Limousine Taxi Financial Model Excel Template

Available: In Stock
$99.00 $149.00

 

Model Highlight

Generates 5-year limousine taxi budget spreadsheet, cash flow statement projection, financial dashboard, and core metrics in GAAP/IFRS formats automatically. Used to evaluate a limousine taxi business before selling it. Unlocked - edit all - last updated in Sep 2020.

Model Overview

Generate fully-integrated limousine taxi profit and loss projection, projected cashflow statement, a balance sheet projections for 5 years (on a monthly basis). Automatic aggregation of annual summaries on the financial summary report.

 
'
 

 

FINANCIAL MODEL ADVANTAGES

  • Identify Limousine Taxi Cash Inflows And Outflows
  • Determine If You Need To Make Adjustments Like Cutting Expenses
  • Gaining Trust From Stakeholders
  • See And Compare Business Expenses And Income For Periods
  • Build Limousine Taxi Financial Model Excel Spreadsheet And Pitch For Funding
  • Calculate Break-Even Point And Return On Investment
  • Spot Problems With Customer Payments
  • Document Your Marketing Plan


LIMOUSINE TAXI BUSINESS PLAN PRO FORMA TEMPLATE KEY FEATURES

 

It is part of the reports set you need. 

It doesn't matter you are worried about cash or not, setting up, and managing a Limousine Taxi Financial Projection Template Excel should be a cornerstone of your reporting set. It's the main report of your business that must have in place to grow sustainably. Before you rush into rent more office space or making a new hire, you should always run a Cash Flow scenario. You can model how that action would impact your cash balance in the nearest future. Knowing whether or not plans are possible is crucial to minimizing risk.

Get Investors to Notice 

Most entrepreneurs can't get investors to return their calls. With the Limousine Taxi Cashflow Projection, you will secure meetings with potential investors easily.

Avoid Cash Flow Shortfalls 

Unexpected Cash Flow shortfalls can cause significant damage to your business, and it may take months to recover. Negative Cash Flow can appear if you don't continuously track the incoming cash and outgoing of your business. Fortunately, you can solve Cash Flow shortfalls with a bit of effort. Forecasting your Cash Flow will help you identify — and plan for — market fluctuations, sales seasonality, and other cases that can lead to unpredictable Cash Flow. Cash Flow Statement By Month can even help you visualize Cash Flow trends with the help of automatically generated charts and graphs.

Track your spending and staying within budget 

Have you written a vague idea of cash inflows and cash outflows on the back of a napkin? All is well and good. Looking at the profit and loss statement proforma will give you a snapshot of the past business performance, but it won't show the future in terms of the cash flow. With a cash flow forecast, you can plan future cash inflows and cash outflows and compare it to the budget, which can be invaluable information.

Simple and Incredibly Practical 

Simple-to-use yet very sophisticated financial planning tool. Whatever size and stage of development your business is, with minimal planning experience and very basic knowledge of Excel you can get complete and reliable results. Additionally, you will receive uncompromised after-sales service and access to valuable tutorial videos and blog posts.

Convenient, All-In-One Dashboard 

Includes all required forecasting reports, including assumptions, profit and loss statement proforma, startup cash flow projection, balance sheets, performance reviews and summaries for months and years (incl. numerous graphs and KPIs).

 

WHAT WILL I GET WITH LIMOUSINE TAXI FINANCIAL MODEL EXCEL TEMPLATE?

 

Liquidity KPIs 

Quick Ratio or Acid-Test Ratio. The quick ratio or acid-test ratio uses a firm's balance sheet data to analyze if it has sufficient short-term assets to cover its short-term liabilities. This metric ignores less liquid assets like such as inventory.

All in One Place 

A well-developed and easy-to-use Financial Projection Model Template. You do not to be a financial expert to design your start-up financial model. Everything you need is the right set of financial tools, and our Limousine Taxi Financial Projection Excel will give you them.

Costs 

Our Limousine Taxi Pro Forma Budget has a well-developed methodology for creating a cost budget. You can plan and forecast your costs from operations and other expenses for up to 60 months. The cost budget has a detailed hiring plan while also automatically handling the expenses' accounting treatment. You can set salaries, job positions, and the time of hiring. Moreover, the model allows users to calculate hiring as the company scales automatically. Pre-built expense forecasting curves enable users to set how an expense changes over time. These pre-built options include % of revenues, % of salaries, % of any revenue category, growth (or decline) rates that stay the same or change over time, ongoing expenses, expenses that periodically reoccur, expenses that regularly change, and many more. Costs can be allocated to key expense areas and labeled for accounting treatment as SG&A, COGS, or CAPEX.

Cash Flow KPIs  

Cash balance. The cash balance shows the total amount of money in a financial account of the company. Any company needs to hold in reserve enough amount of cash to meet current obligations.

Profitability KPIs 

Revenue breakdown. The Limousine Taxi Cash Flow Proforma has a revenue breakdown proforma in the form of a chart. It shows the revenue from five products monthly. If needed, you can add more products or change the period for financial analysis.

Burn and Runway 

The cash burn rate is one of the tabs your future investors may be very interested in. This metrics shows the time left to a complete cash burn. Also, this template shows a cash burn ratio. The calculation is based on your average annual cash balance and average monthly operating cash outflows.

Top Expenses 

It is very important for a start-up and existing company to monitor, plan, and manage its costs and expenses to maintain a good profitability level. For this purpose, it is necessary to analyze the highest costs and always work on their optimization. In our Three Way Financial Model we have created a Top expense report helps users with this task. It summarizes the four biggest expense categories and the rest of the expenses as the 'other', so the users can easily monitor these expenses and track the tendencies related to their increase or decrease from year to year.

 

Model Highlight

Generates 5-year limousine taxi budget spreadsheet, cash flow statement projection, financial dashboard, and core metrics in GAAP/IFRS formats automatically. Used to evaluate a limousine taxi business before selling it. Unlocked - edit all - last updated in Sep 2020.

Model Overview

Generate fully-integrated limousine taxi profit and loss projection, projected cashflow statement, a balance sheet projections for 5 years (on a monthly basis). Automatic aggregation of annual summaries on the financial summary report.

 ' 

 

FINANCIAL MODEL ADVANTAGES

  • Identify Limousine Taxi Cash Inflows And Outflows
  • Determine If You Need To Make Adjustments Like Cutting Expenses
  • Gaining Trust From Stakeholders
  • See And Compare Business Expenses And Income For Periods
  • Build Limousine Taxi Financial Model Excel Spreadsheet And Pitch For Funding
  • Calculate Break-Even Point And Return On Investment
  • Spot Problems With Customer Payments
  • Document Your Marketing Plan


LIMOUSINE TAXI BUSINESS PLAN PRO FORMA TEMPLATE KEY FEATURES

 

It is part of the reports set you need. 

It doesn't matter you are worried about cash or not, setting up, and managing a Limousine Taxi Financial Projection Template Excel should be a cornerstone of your reporting set. It's the main report of your business that must have in place to grow sustainably. Before you rush into rent more office space or making a new hire, you should always run a Cash Flow scenario. You can model how that action would impact your cash balance in the nearest future. Knowing whether or not plans are possible is crucial to minimizing risk.

Get Investors to Notice 

Most entrepreneurs can't get investors to return their calls. With the Limousine Taxi Cashflow Projection, you will secure meetings with potential investors easily.

Avoid Cash Flow Shortfalls 

Unexpected Cash Flow shortfalls can cause significant damage to your business, and it may take months to recover. Negative Cash Flow can appear if you don't continuously track the incoming cash and outgoing of your business. Fortunately, you can solve Cash Flow shortfalls with a bit of effort. Forecasting your Cash Flow will help you identify — and plan for — market fluctuations, sales seasonality, and other cases that can lead to unpredictable Cash Flow. Cash Flow Statement By Month can even help you visualize Cash Flow trends with the help of automatically generated charts and graphs.

Track your spending and staying within budget 

Have you written a vague idea of cash inflows and cash outflows on the back of a napkin? All is well and good. Looking at the profit and loss statement proforma will give you a snapshot of the past business performance, but it won't show the future in terms of the cash flow. With a cash flow forecast, you can plan future cash inflows and cash outflows and compare it to the budget, which can be invaluable information.

Simple and Incredibly Practical 

Simple-to-use yet very sophisticated financial planning tool. Whatever size and stage of development your business is, with minimal planning experience and very basic knowledge of Excel you can get complete and reliable results. Additionally, you will receive uncompromised after-sales service and access to valuable tutorial videos and blog posts.

Convenient, All-In-One Dashboard 

Includes all required forecasting reports, including assumptions, profit and loss statement proforma, startup cash flow projection, balance sheets, performance reviews and summaries for months and years (incl. numerous graphs and KPIs).

 

WHAT WILL I GET WITH LIMOUSINE TAXI FINANCIAL MODEL EXCEL TEMPLATE?

 

Liquidity KPIs 

Quick Ratio or Acid-Test Ratio. The quick ratio or acid-test ratio uses a firm's balance sheet data to analyze if it has sufficient short-term assets to cover its short-term liabilities. This metric ignores less liquid assets like such as inventory.

All in One Place 

A well-developed and easy-to-use Financial Projection Model Template. You do not to be a financial expert to design your start-up financial model. Everything you need is the right set of financial tools, and our Limousine Taxi Financial Projection Excel will give you them.

Costs 

Our Limousine Taxi Pro Forma Budget has a well-developed methodology for creating a cost budget. You can plan and forecast your costs from operations and other expenses for up to 60 months. The cost budget has a detailed hiring plan while also automatically handling the expenses' accounting treatment. You can set salaries, job positions, and the time of hiring. Moreover, the model allows users to calculate hiring as the company scales automatically. Pre-built expense forecasting curves enable users to set how an expense changes over time. These pre-built options include % of revenues, % of salaries, % of any revenue category, growth (or decline) rates that stay the same or change over time, ongoing expenses, expenses that periodically reoccur, expenses that regularly change, and many more. Costs can be allocated to key expense areas and labeled for accounting treatment as SG&A, COGS, or CAPEX.

Cash Flow KPIs  

Cash balance. The cash balance shows the total amount of money in a financial account of the company. Any company needs to hold in reserve enough amount of cash to meet current obligations.

Profitability KPIs 

Revenue breakdown. The Limousine Taxi Cash Flow Proforma has a revenue breakdown proforma in the form of a chart. It shows the revenue from five products monthly. If needed, you can add more products or change the period for financial analysis.

Burn and Runway 

The cash burn rate is one of the tabs your future investors may be very interested in. This metrics shows the time left to a complete cash burn. Also, this template shows a cash burn ratio. The calculation is based on your average annual cash balance and average monthly operating cash outflows.

Top Expenses 

It is very important for a start-up and existing company to monitor, plan, and manage its costs and expenses to maintain a good profitability level. For this purpose, it is necessary to analyze the highest costs and always work on their optimization. In our Three Way Financial Model we have created a Top expense report helps users with this task. It summarizes the four biggest expense categories and the rest of the expenses as the 'other', so the users can easily monitor these expenses and track the tendencies related to their increase or decrease from year to year.

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