Finance starting point

Finance Excel templates

5 Finance Excel Templates

Cash flow forecasting, receivables tracking, startup cost planning, expense reimbursement, and budget review are grouped in one entry point for finance workflows. Start with the template your team uses most.

Filter by template name, use case, or keyword.

Featured templates

Featured

Start with cash flow, receivables tracking, startup cost planning, expense reimbursement, and budget review workflows.

Detail URL

Cash Flow Forecast Template

A template for keeping incoming payments, outgoing payments, balances, and warning lines in one workbook.

Audience
Teams that want to see cash headroom and warning lines first
Typical contents
Projected inflow, projected outflow, balance trend
cash flow balance
Detail URL

Accounts Receivable Tracker Template

A template for keeping invoices, due dates, overdue items, and collection notes in one workbook.

Audience
Teams that want to track collection progress and overdue items
Typical contents
Invoices, due dates, overdue list
collections invoices
Detail URL

Expense Reimbursement Log Template

A template for keeping requests, approvals, reimbursements, and receipt notes in one workbook.

Audience
Teams that want to organize requests, approvals, and reimbursement settlement
Typical contents
Request number, approval status, receipt notes
expense reimbursement approvals
Detail URL

Budget vs Actual Template

A template for keeping budget, actual results, variances, and reason notes in one workbook.

Audience
Teams that want to review budget variances on a regular cadence
Typical contents
Budget amount, actual amount, variance reason
budget actual
Detail URL

Startup Operating Cost and Profit Forecast Model

A template for keeping launch assumptions, monthly costs, revenue, and profit in one workbook.

Audience
Teams that want to review startup cost and profit before launch
Typical contents
Launch month, monthly burn, break-even target
startup cost profit

Cash flow and collections

Reconciliation and review

Expense

Startup cost and profit

View the 5 templates by workflow

Workflow map

Grouping the templates into four workflows makes it easier to start from the closest process.

Reconciliation and review

Put budget review together when you want to review month-end differences and reasons.

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What the detail page shows

See what happens after you open a template

Free download

1

Download the Excel file and use it right away.

How to use

2

Check the input order and operating tips for cash flow, collections, and reconciliation.

System example

3

See how the same workflow can be handled in a web system.

Next step

Need help choosing a finance template?

If you are not sure whether to start with cash flow, collections, reconciliation, expense, or budget, contact us and we will help narrow it down. We can also tune the columns to match your Excel workflow.

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