This cash budget excel worksheet template is used to organize your business’s cash flow. This Cash Budget Template also presents data entry places for cash outflows and inflows from both financing and operations. It is an ideal for small, large or home based businesses as a documentation of expenses for accounting, reimbursement, or tax purposes. The colorful and easy to use spreadsheet lets you enter key expense items daily for every week or month. It automatically sums the records for the week or the month.
Version: Excel 2010
File Size: 23 KB
Following is the preview and download link of this free Cash Budget Template,