Dashboard/Financial statements/Financial modelling

Financial modelling templates

Multi-year projection models (1, 3, 5, 7 and 10 years) with the same statement structure as IAS 1 and IAS 7-style cash flows. Sector presets set management-planning assumptions (CIMA-style cost and working-capital drivers). Select a time horizon to open the model.

Presentation follows common IFRS-style structures (for example IAS 1 for the primary statements and IAS 7 for cash flows) when your chart of accounts and line mappings are set up for that purpose. Outputs depend on your data, mappings, and judgments; they are not audited financial statements and are not a substitute for professional accounting advice.

Smart Forecast

3-year model — Years 2026 to 2028

Industry preset

The three statements use the same IAS 1 / IAS 7-style layout for every sector. Industry presets only set default drivers for planning and sensitivity (management accounting — similar to CIMA cost and working-capital thinking), not audited statutory numbers. Data prepopulated from "General" preset.

Presentation follows common IFRS-style structures (for example IAS 1 for the primary statements and IAS 7 for cash flows) when your chart of accounts and line mappings are set up for that purpose. Outputs depend on your data, mappings, and judgments; they are not audited financial statements and are not a substitute for professional accounting advice.

Link to actuals

Load assumptions from your financial statements (trial balance / P&L / SFP / cash flow) for a period. Same period as in Financial statements.

Smart assumption helper

ClariFi can suggest ideas or turn plain language into driver changes. Requires OPENAI_API_KEY and advisor access.

Assumptions

Edit any input — the model updates as you type. Use ± to nudge values. Add revenue, cost of sales, or operating expense lines for a breakdown by category.

Year 1 revenue (2026): 10,000,000Year 1 profit after tax: 1,050,000

Key drivers

Slide to adjust — values stay in sync with the fields below.

10,000,000
10%
55%
25%
2%
30%
5%
2,000,000
%
%
%
%
%
%
%
%
Model auto-updates as you type (500 ms delay).

Projected statements use IAS 1-style P&L and SFP labels and an IAS 7-style cash flow layout; amounts are model outputs from your assumptions, not prepared financial statements.

Statement of profit or loss (IAS 1)
Line itemY1(2026)Y2(2027)Y3(2028)
RevenueKSh 10,000,000KSh 11,000,000KSh 12,100,000
Cost of salesKSh 5,500,000KSh 6,050,000KSh 6,655,000
Gross profitKSh 4,500,000KSh 4,950,000KSh 5,445,000
Operating expensesKSh 2,500,000KSh 2,750,000KSh 3,025,000
Operating profitKSh 1,700,000KSh 1,870,000KSh 2,057,000
Finance costsKSh 200,000KSh 220,000KSh 242,000
Profit before taxKSh 1,500,000KSh 1,650,000KSh 1,815,000
Income tax expenseKSh 450,000KSh 495,000KSh 544,500
Profit for the periodKSh 1,050,000KSh 1,155,000KSh 1,270,500
Statement of financial position (IAS 1)
Line itemY1(2026)Y2(2027)Y3(2028)
Cash and cash equivalentsKSh 1,165,068KSh 1,931,575KSh 2,774,733
Trade receivablesKSh 1,232,877KSh 1,356,164KSh 1,491,781
InventoryKSh 904,110KSh 994,521KSh 1,093,973
Other current assetsKSh 0KSh 0KSh 0
Total current assetsKSh 3,302,055KSh 4,282,260KSh 5,360,486
Non-current assetsKSh 0KSh 0KSh 0
Total assetsKSh 3,302,055KSh 4,282,260KSh 5,360,486
Trade payablesKSh 452,055KSh 497,260KSh 546,986
Other current liabilitiesKSh 0KSh 0KSh 0
Total current liabilitiesKSh 452,055KSh 497,260KSh 546,986
Non-current liabilitiesKSh 0KSh 0KSh 0
Total liabilitiesKSh 452,055KSh 497,260KSh 546,986
Equity / CapitalKSh 5,000,000KSh 5,000,000KSh 5,000,000
Retained earningsKSh 6,050,000KSh 7,205,000KSh 8,475,500
Other equityKSh 0KSh 0KSh 0
Total equityKSh 11,050,000KSh 12,205,000KSh 13,475,500
Statement of cash flows (IAS 7)
Line itemY1(2026)Y2(2027)Y3(2028)
Profit before taxKSh 1,500,000KSh 1,650,000KSh 1,815,000
Depreciation and amortisationKSh 300,000KSh 330,000KSh 363,000
Change in working capitalKSh -1,684,932KSh -168,493KSh -185,342
Net cash from operating activitiesKSh 115,068KSh 1,811,507KSh 1,992,658
Capital expenditureKSh -500,000KSh -550,000KSh -605,000
Other investingKSh 0KSh 0KSh 0
Net cash from investing activitiesKSh -500,000KSh -550,000KSh -605,000
Proceeds / (repayment) of borrowingsKSh 0KSh 0KSh 0
Dividends paidKSh 0KSh 0KSh 0
Other financingKSh 0KSh 0KSh 0
Net cash from financing activitiesKSh 0KSh 0KSh 0
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