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Cash Budget Use this template to plan your business's cash flow. The template provides entry areas for cash inflows and outflows from both operations and financin The beginning cash balance is entered in the first month and calculated for subsequent months. Note that the total column summarizes the entire year, from the first month's beginning balance to the last month's ending balance Change the starting month by typing the first three letters of the month at top of the first column. The other month headings will be calculated by for To view the template, click the worksheet tab labeled Template at the botto of the screen or press Ctrl-PgDn. With the exception of data entry cells, a protected. Use the Tab key to move from one unprotected cell to the next. Copyright © KMT Software, Inc. All Rights Reserved.

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Cash Budget

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Cash BudgetUse this template to plan your business's cash flow. The template provides dataentry areas for cash inflows and outflows from both operations and financing.

The beginning cash balance is entered in the first month and calculated for all subsequent months. Note that the total column summarizes the entire year, from the first month's beginning balance to the last month's ending balance. Change the starting month by typing the first three letters of the month at the top of the first column. The other month headings will be calculated by formulas.

To view the template, click the worksheet tab labeled Template at the bottom of the screen or press Ctrl-PgDn. With the exception of data entry cells, all cells are protected. Use the Tab key to move from one unprotected cell to the next.

Copyright KMT Software, Inc. All Rights Reserved.

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Cash Budget