Description
SMART BUSINESS CASHBOOK – READY-TO-USE AUTOMATED WORKBOOK
Take control of your business finances with a simple, professional and automated Excel cashbook designed for small businesses, entrepreneurs and self-employed individuals.
This easy-to-use workbook helps you record money received and paid, monitor your running cash balance and review your business’s monthly cash position, all in one convenient file.
FEATURES INCLUDE:
• Income and expense tracking
• Automatic cash-in and cash-out totals
• Automatic running cash balance
• 12-month cash summary
• Monthly net cash-flow calculations
• Editable business name and opening balance
• Transaction category dropdowns
• Payment-method and account-location dropdowns
• Entry checks to help identify incorrect entries
• Clear setup and usage instructions
• Currency formatted in Trinidad and Tobago dollars (TT$)
YOUR DIGITAL DOWNLOAD INCLUDES:
One downloadable Microsoft Excel workbook containing:
• Cashbook
• Monthly Summary
• Setup and Instructions
IMPORTANT INFORMATION:
• This is the ready-to-use automated version and is not individually customized to a specific business.
• Microsoft Excel or compatible spreadsheet software is required.
• Customers must enter their own business information and transactions.
• This product is intended for internal record-keeping and does not replace professional accounting, tax or legal advice.
• Due to the digital nature of this product, all sales are final once the file has been downloaded.
• This workbook is for the purchaser’s use only and may not be copied, resold, shared or redistributed.
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