


Simple Cash Flow Template
Keep your finances flowing smoothly with the Simple Cash Flow Template from Cheapskate Templates! This user-friendly Excel tool helps you track cash inflows and outflows, comparing current and previous periods to spot trends. Perfect for straightforward cash management, it ensures you’re always in control of your liquidity.
Period Comparison: Tracks cash receipts and payments for current and prior periods with increase/decrease calculations.
Detailed Cash Breakdown: Logs sales, collections, COGS, operating expenses, and more for a clear financial picture.
Automatic Net Cash Change: Computes cash position and changes instantly, no manual calculations needed.
Customizable Categories: Adapt fields for supplies, rent, travel, or other expenses to suit your business.
Intuitive Layout: Clean design with fields for manager and completion details for easy record-keeping.
Perfect for small business owners, freelancers, and startups—download it now at a flash sale price!
Keep your finances flowing smoothly with the Simple Cash Flow Template from Cheapskate Templates! This user-friendly Excel tool helps you track cash inflows and outflows, comparing current and previous periods to spot trends. Perfect for straightforward cash management, it ensures you’re always in control of your liquidity.
Period Comparison: Tracks cash receipts and payments for current and prior periods with increase/decrease calculations.
Detailed Cash Breakdown: Logs sales, collections, COGS, operating expenses, and more for a clear financial picture.
Automatic Net Cash Change: Computes cash position and changes instantly, no manual calculations needed.
Customizable Categories: Adapt fields for supplies, rent, travel, or other expenses to suit your business.
Intuitive Layout: Clean design with fields for manager and completion details for easy record-keeping.
Perfect for small business owners, freelancers, and startups—download it now at a flash sale price!
Keep your finances flowing smoothly with the Simple Cash Flow Template from Cheapskate Templates! This user-friendly Excel tool helps you track cash inflows and outflows, comparing current and previous periods to spot trends. Perfect for straightforward cash management, it ensures you’re always in control of your liquidity.
Period Comparison: Tracks cash receipts and payments for current and prior periods with increase/decrease calculations.
Detailed Cash Breakdown: Logs sales, collections, COGS, operating expenses, and more for a clear financial picture.
Automatic Net Cash Change: Computes cash position and changes instantly, no manual calculations needed.
Customizable Categories: Adapt fields for supplies, rent, travel, or other expenses to suit your business.
Intuitive Layout: Clean design with fields for manager and completion details for easy record-keeping.
Perfect for small business owners, freelancers, and startups—download it now at a flash sale price!