-
E-Commerce Financial Projection Model
The model is designed to provide e-commerce founders, operators, and finance teams with a comprehensive financial projection framework spanning five years. It enables you to forecast revenue across multiple sales channels, evaluate profitability under different growth scenarios, and present investor-ready financials with institutional-grade structure.
The template is organized into six integrated worksheets: an Instructions tab, an Assumptions and Inputs tab, a Revenue Model tab, a Profit and Loss Statement, a Cash Flow Statement, and a Dashboard.
Whether you are preparing projections for a fundraise, building an annual operating plan, or stress-testing your business under different market conditions, this model gives you the tools to make informed decisions with confidence.
$ 60 -
Inventory & Cash Flow Operating Model (Ready to use)
The Inventory & Cash Flow Planning Model is designed to give e-commerce business owners, operators, and finance teams a comprehensive view of how inventory decisions impact cash flow and working capital over a 24-month horizon. It brings together demand forecasting, purchase planning, cash management, and cash conversion cycle analysis into a single, integrated workbook.
Whether you’re managing seasonal inventory swings, optimizing supplier payment terms, or forecasting your cash runway for investor conversations, this model provides the analytical framework to make informed, data-driven decisions.
The template supports three built-in scenarios (Base, Optimistic, and Conservative) that can be toggled instantly, so you can stress-test your inventory and cash strategy under different growth and margin assumptions.
$ 60 -
Rental Property Model – Ready to use
The Rental Property Financial Model is designed to help real estate investors, property managers, and finance professionals evaluate rental property acquisitions and project long-term investment returns. Whether you are analyzing a single duplex or a 25-unit apartment complex, this model provides the analytical framework to make informed buy/hold/sell decisions.
The model answers key investment questions:
• Is this property cash-flow positive from Year 1?
• What is my projected cash-on-cash return and equity ROI over 10 years?
• How does the deal perform under optimistic vs. conservative assumptions?
• What is the Debt Service Coverage Ratio (DSCR) and will lenders view this favorably?
• How much cumulative wealth does this property generate through cash flow and appreciation?
The template is organized across five tabs: Instructions, Dashboard, Assumptions, P&L Forecast, and Property Value & Profitability. Each tab serves a distinct purpose while remaining fully integrated through cross-sheet references.
$ 40




