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does this cashflow forecast template help you do?\",\"answer\":\"It provides a structured layout for planning and recording monthly cash inflows and outflows across the year.\"},{\"question\":\"How is the information organized in the template?\",\"answer\":\"Months are listed from January to December with repeated rows to record values for each period.\"},{\"question\":\"What data should be entered into the spreadsheet?\",\"answer\":\"Use the cells to enter forecasted or planned cash amounts by month (e.g., incoming and outgoing items) to track expected cash balance changes.\"}]","Cashflow Forecast Template | XLSX",1788180965]