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* All X4Plan Products come with Technical Support and Free Updates to New Versions.

📊 X4Plan – Complete Business Cash Flow Spreadsheet

💰 Bank Reconciliation + Payments & Receipts + Financial Analysis + Automatic Reports

🚀 The most Complete, Intelligent and Automatic!

The X4Plan Cash Flow Spreadsheet was created to automate and simplify your company's financial management. With Excel Macros , it offers complete control over cash flow, bank reconciliation, payments and receipts, as well as strategic reports for financial analysis.

⚙️ Key Features

📈 Cash Flow Control – Record inflows and outflows with customized categories.
🏦 Bank Reconciliation – Compare financial entries with bank statements.
💳 Payment & Receipt Management – Organize due dates and avoid delays.
📊 Financial Reports (FP&A + Cash Income Statement) – Automatic generation of analyses.
📖 User Manual – Complete guide for configuration and use.

🚀 Benefits

🔹 Automation and Efficiency – Fewer errors, more productivity.
🔹 Strategic Vision – In-depth analysis for assertive decisions.
🔹 Easy to Use – Intuitive for any experience level.
🔹 Customization – Adaptable to any company.
🔹 Data Security – Password protection and automatic backup.
🔹 Guaranteed Updates – Always with continuous improvements.
🔹 Always have the support of X4Plan, the largest creator of management controls and customized automatic intelligent spreadsheets.

🔥 Optimize your financial control and boost your results with X4Plan!

📩 Get your spreadsheet now!

For more details and questions, call us on Whatsapp

Business Spreadsheet Cash Flow Control Professional Bank Reconciliation

R$590.00 Regular Price
R$350.00Sale Price
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