{"product_id":"budget-cash-flow-template-excel-google-sheets-cash-flow-statement-business-budget-planner","title":"Budget Cash Flow Template | Excel \u0026 Google Sheets | Cash Flow Statement | Business Budget Planner","description":"Budget Cash Flow Template (Excel \u0026amp; Google Sheets)\nThe Budget Cash Flow Template is a professional and easy-to-use financial planning tool designed to help businesses, freelancers, and individuals track income, expenses, and net cash flow over time. This spreadsheet allows you to forecast cash inflows and outflows, monitor financial performance, and maintain full control of your budget with clear, auto-calculated results.\nCompatible with both Microsoft Excel and Google Sheets, this template provides a structured cash flow statement that updates automatically as you enter your data.\n\nPurpose and Usage\nThis template is designed to help you plan and analyze your cash flow by tracking operating activities, financing activities, and net cash position. Simply enter your expected income and expenses, and the template will calculate totals, balances, and projections automatically.\nIt can be used for monthly, quarterly, or annual cash flow planning.\n\nWho This Template Is For\nSmall business owners\nEntrepreneurs and startups\nFreelancers and consultants\nFinance and accounting teams\nAnyone who needs clear cash flow control\n\nWhat You’ll Receive\nBudget Cash Flow Template\nExcel file (.xlsx)\nGoogle Sheets compatible version\nFully editable and reusable format\nAuto-calculated cash flow statement\n\nWhat’s Inside the Spreadsheet\nCash flow statement layout\nIncome and cash inflow tracking\nExpense and cash outflow tracking\nOperating and financing sections\nNet cash flow calculations\nOpening and ending cash balance\n12-month cash flow overview\nAll calculations are automated, so no manual formulas are required.\n\nKey Features\nClean and professional layout\nAutomated cash flow calculations\nIncome and expense forecasting\nEasy data entry and customization\nWorks across devices and platforms\n\nBenefits and Functions\nMaintain control over cash movement\nAnticipate cash shortages in advance\nImprove financial planning and stability\nMonitor performance against budget\nSave time with automated calculations\nPlan confidently without extra software\n\nSoftware Compatibility\nMicrosoft Excel\nGoogle Sheets\n\nDelivery Information\nThis is a digital download. Files are available immediately after purchase. No physical product will be shipped.\n\nImportant Notes\nDigital product only\nNo refunds or returns\nFor personal or business use\nRedistribution or resale is not permitted\n\nSupport\nIf you have any questions before or after purchase, feel free to contact me. I am happy to help.","brand":"ExcelSheets.net","offers":[{"title":"Default Title","offer_id":67841096352048,"sku":null,"price":23.0,"currency_code":"USD","in_stock":true}],"thumbnail_url":"\/\/cdn.shopify.com\/s\/files\/1\/0998\/8780\/8816\/files\/1eb4f401-il_fullxfull.7744776064_q0z0.jpg?v=1790219406","url":"https:\/\/excelsheets.net\/products\/budget-cash-flow-template-excel-google-sheets-cash-flow-statement-business-budget-planner","provider":"Excel Templates \u0026 Google Sheets Templates | ExcelSheets.net","version":"1.0","type":"link"}