One of the first things to consider is what kind of data you have to work with in your cash flow template Excel spreadsheet. Ideally, you're looking for accurate monthly data including income statement items like revenue and operating expenses and balance sheet items like equipment purchases and cash from financing activities. If you have a longer time frame you can go with quarterly periods, but annual tends to be too long. After all, how can you predict what is going to happen beyond 5 years with any accuracy unless you're valuing an annuity?
I use article writing templates to jumpstart my creativity and article writing skills. This way I don't have to start with a blank screen or give in to writers block. Using a template, you can capture the skill and speed needed but still maintain originality. Something, most article scraping software fall short in no matter how many articles they produce a minute. For example, here's one of my favorite article templates: