Funding Requirements Template
The Funding Requirements Breakdown Template provides a clear and professional way to present a company’s capital and financing needs. Its structured layout helps explain how capital expenditures and internal cash flow contribute to the overall funding requirement over a five-year period.
The slide separates Debt and Equity requirements, making it easier to show how much funding the business needs and how the amount is calculated.
Key Features
- Five-year funding requirement overview
- Total capital expenditure breakdown
- Internal cash flow analysis
- Net funding requirement calculation
- Separate Debt and Equity sections
- Prior financing and deductions
- Clear financial tables
- Easy-to-read financial figures
- Clean and modern professional design
- Editable content for different business cases
- Compatible with PowerPoint and Google Slides
The step-by-step structure helps investors and stakeholders quickly understand the company’s financing needs, funding sources, and allocation strategy.
You can easily update the figures, labels, time periods, tables, colors, and other content to match your financial data and branding. The editable design makes it suitable for investor pitch decks, financial reports, funding proposals, and corporate presentations.
Login to download this file

























































