Simple, focused and flexible, this Microsof Excel application has two main purposes. Firstly, you can use it for transaction management: keep track of bills, deposits and transfers, reconcile your bank accounts. The system helps to quickly pick up overdue bills, mark transactions as "reconciled", etc. Secondly, it is a powerful analysis tool, which allows you to generate cash flow plans for multiple years in advance, visualize these plans, identify trends, savings opportunities. Cash Flow Planner acts as a true decision support system, providing bottom line information in "what-if" scenarios. Your data is stored in an Excel spreadsheet which is a format supported by numerous software vendors and online services (such as banks, credit card companies, etc.).

Cash Flow Planner 2.0 was released by Riyad Mammadov on Tuesday 01 March 2005. Its known requirements are : Must have Excel 2000 or later.
Cash Flow Planner will run on Windows 98, Windows Me, Windows 2000, Windows NT and Windows XP.