Template: Cash Flow/Spending Plan (Spreadsheet)
Documenting your weekly or monthly income and expenses not only gives you an overall picture of your cash flow, but also helps you be more proactive with your money. This template helps you to record your income and expenses, proactively track and analyze your spending, and identify areas to improve your weekly and monthly cash flow balances so you can make wise decisions about your money.
Monthly Cash Flow/Spending Plan Template (MS Excel)
NOTE: If you use Google sheets, you can download this file and move to Google Drive. Open Drive and double-click this file. A preview of your file open will open. At the top, click Open with Google Sheets and Save as Google Sheets (or click on File and select Save as Google Sheets).