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CALCULATORS

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What Is the Current Ratio?


The Current Ratio measures your business’s ability to pay short-term obligations using short-term assets. It's a key liquidity metric that shows whether you have enough resources to cover what you owe in the near future.

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Why It Matters

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  • Indicates financial stability and solvency

  • Helps assess risk before borrowing or investing

  • Gives early warning signs of potential cash flow issues.

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 How This Calculator Helps


Enter your current assets and current liabilities to instantly calculate your current ratio. This simple tool helps you stay ahead of financial risks and maintain a strong operational footing.

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Market Analysis

What Is a Cash Flow Statement?


A cash flow statement tracks the money flowing in and out of your business. It shows how much cash you generate from sales, investments, and financing, and whether you have enough liquidity to cover expenses and grow.

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Why It Matters

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  • Track real-time financial health

  • Predict shortfalls or surpluses

  • Support hiring and investment decisions

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 How This Calculator Helps


This calculator gives you a quick view of your net cash flow — with monthly/annual toggles and export options — so you can take action with confidence.

What Is Gross Profit Margin?

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Gross Profit Margin measures how efficiently your business produces and sells goods. It shows what percentage of revenue remains after subtracting the cost of goods sold (COGS), giving you a snapshot of core profitability.

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Why It Matters

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  • Reveals how well you manage production costs

  • Helps price your products strategically

  • Tracks trends in profitability over time

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How This Calculator Helps


Use this tool to quickly calculate your gross profit margin using your revenue and COGS. It's an essential metric for staying competitive and making informed pricing, inventory, and growth decisions.

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