Business Fundability & Cash Flow Readiness Bundle
Printable PDF Workbook + Editable Excel DashboardKnow Your Numbers. Protect Cash Flow. Prepare for Funding.The Business Fundability & Cash Flow Readiness Bundle gives you two practical tools to help you understand where your business stands before applying for vendor credit, business credit, a line of credit, working capital, or other funding.You receive both:a guided printable PDF workbook for reviewing your business financial position and planning next steps; andan editable Excel dashboard for tracking cash flow, payment obligations, fundability readiness, and 30-day priorities over time.Use the workbook to assess your business. Use the dashboard to keep tracking it.This bundle is designed for business owners who want more than a one-time checklist. It gives you a structured assessment tool plus an ongoing financial-readiness system.What You Receive1. Business Fundability & Cash Flow Readiness WorkbookA printable PDF workbook designed to help you review:Current cash availableMonthly revenue and sales trendsOperating expensesDebt and vendor-payment pressureUpcoming 30-day payment obligationsMissing financial and business recordsDocumentation readinessCash flow risksFundability gapsA 30-day stabilization planFunding-readiness action steps2. Business Fundability & Cash Flow Readiness Dashboard — Excel EditionAn editable Excel workbook with formula-driven tools for tracking:Cash on handMonthly revenue, expenses, and net cash flowCash-flow trendsDebt-to-income positionVendor bills and payment obligationsDue dates and payment statusFundability scoreReadiness gapsPriority improvement areas30-day action-plan progressDashboard charts and visual summariesWhy Get Both?The PDF Workbook helps you answer:Where does my business stand today?The Excel Dashboard helps you answer:What is changing, what needs attention, and what should I do next?Together, they help you move from financial uncertainty to a more organized cash-flow and funding-readiness process.This Bundle Helps You✓ Review your current business financial position✓ Track revenue, expenses, and net cash flow✓ Identify debt, vendor, and payment pressure✓ Organize missing records and documentation✓ Measure fundability readiness before applying✓ Identify the areas lenders and vendors may care about most✓ Build a focused 30-day stabilization plan✓ Monitor business progress over time✓ Prepare more confidently before applying for credit or fundingBest ForSmall business ownersStartupsConsultantsContractorsService businessesE-commerce sellersEntrepreneurs preparing for vendor creditOwners experiencing cash-flow pressureBusinesses organizing records before a funding applicationBusiness owners who need a clearer financial systemProduct DetailsIncluded files:1 Printable PDF Workbook1 Editable Excel Dashboard WorkbookDelivery: Instant digital downloadPDF use: Print at home or complete digitallyExcel use: Best used with Microsoft Excel desktop or Excel OnlineAuthor: Gerald Lacey, MBA, MSSCMBrand: Credit Growth AcademyImportant NoticeThese products are for educational and organizational purposes only. They are not tax, legal, accounting, lending, or financial advice.They do not guarantee approval for vendor credit, business credit, loans, or funding.For personal and internal business use only. You may not resell, redistribute, share, copy, or claim these files as your own.Final Call to ActionGet the full business-readiness system.Download the Business Fundability & Cash Flow Readiness Bundle and get the tools you need to review your numbers, track your progress, protect cash flow, and prepare more confidently for funding.
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