Seasonal Business Cash Planning
€39.99
Plan for the mismatch between seasonal sales and year-round costs. This application is designed to combine peak trading expectations, stock purchases and fixed expenditure into a view of cash needs during quieter periods. 12-month software licence purchased with a one-time payment. The purchase covers the stated licence term and does not create an automatically renewing subscription.
Plan for the mismatch between seasonal sales and year-round costs. This application is designed to combine peak trading expectations, stock purchases and fixed expenditure into a view of cash needs during quieter periods.
Best suited to
Seasonal retailers, service businesses and other cyclical operators.
What you can manage
- Record sales expectations for the relevant trading season.
- Schedule inventory purchases required ahead of seasonal demand.
- Include fixed costs continuing through high and low seasons.
- Project the cash requirement during quieter trading periods.
- Review the funding gap implied by the entered assumptions.
A practical workflow
Build the seasonal sales and purchasing calendar, then include ongoing operating costs. Examine the low-season cash position and revise the assumptions as actual trading and purchasing information becomes available.
Why this workflow matters
A useful cash plan makes the timing assumptions as visible as the final balance. Reviewing expected receipts and commitments together helps management test where the plan is sensitive to change and decide which operational questions need attention. Updating the inputs is part of the planning process, rather than evidence that the earlier forecast was certain.
Working with your records
Use current records and clearly identified assumptions for the selected planning date. Review the timing and completeness of expected movements before acting on a calculated position. Forecasts and scenarios are estimates based on the inputs supplied; they do not guarantee future cash availability or provide lending, investment or foreign exchange services.
Licence
12-month software licence purchased with a one-time payment. The purchase covers the stated licence term and does not create an automatically renewing subscription.
| Licence term | 12 months |
|---|
Related products
Weekly Cash Flow Planner
Build a rolling view of near-term liquidity from expected receipts and payments. This application is designed to organise a thirteen-week cash plan and compare the business's assumptions with the activity subsequently recorded. 12-month software licence purchased with a one-time payment. The purchase covers the stated licence term and does not create an automatically renewing subscription.
Daily Cash Position Manager
Establish a practical daily picture of available business cash. This application is designed to combine recorded bank and cash balances with pending movements and restricted amounts before the business decides what is available for use. 12-month software licence purchased with a one-time payment. The purchase covers the stated licence term and does not create an automatically renewing subscription.
Payment Prioritization & Cash Allocation Planner
Compare payment plans when available cash cannot cover every obligation at once. This application is designed to organise due amounts and business-defined priorities into alternative allocation scenarios for internal management review. 12-month software licence purchased with a one-time payment. The purchase covers the stated licence term and does not create an automatically renewing subscription.
Receivables Delay Cash Flow Modeling
Test how delayed customer receipts could affect the cash plan. This application is designed to model customer-level timing changes and partial payment assumptions so the business can identify when a projected shortfall might arise. 12-month software licence purchased with a one-time payment. The purchase covers the stated licence term and does not create an automatically renewing subscription.

Reviews
There are no reviews yet.