{"id":16294,"date":"2016-04-18T06:31:40","date_gmt":"2016-04-18T11:31:40","guid":{"rendered":"https:\/\/samplewords.com\/?p=16294"},"modified":"2019-12-02T12:33:14","modified_gmt":"2019-12-02T18:33:14","slug":"cash-flow-worksheet-monthly","status":"publish","type":"post","link":"https:\/\/samplewords.com\/cash-flow-worksheet-monthly\/","title":{"rendered":"Cash Flow Worksheet – Monthly"},"content":{"rendered":"
The basic Monthly Cash Flow Worksheet can be downloaded below for free in Microsoft Excel. This spreadsheet was created to help individuals track their monthly inflows and outflows of cash.<\/p>\n
The top of the worksheet includes boxes that provide totals of cash outlays for 12 months out of the year. You can save the report for every year and use a blank worksheet for a new year. <\/p>\n
The top portion provides rows and columns to track incoming wages and additional inflows such as dividends, interest or retirement benefits. A list of common household expenses can be used to track outflows. We provide several additional rows that you can edit and replace to suit your own needs. <\/p>\n
The total of each row is provided at the bottom. You will also see a running total of each individual inflow and outflow in the right hand column.<\/p>\n