Category

Accounting & Bookkeeping

Templates for maintaining financial records, ledgers, and statements.

241 templates

Profit and Loss Statement Report Template previewAccounting & Bookkeeping

Profit and Loss Statement Report Template

A comprehensive P&L statement template for tracking revenue, expenses, and profitability over time with monthly tracking capabilities.

  • Monthly revenue and expense tracker
  • Automated profit/loss calculations
  • Visual charts for financial trends
intermediate.xlsx
Profit and Loss Statement Service Business previewAccounting & Bookkeeping

Profit and Loss Statement Service Business

Track income and expenses with chart of accounts and professional P&L reporting formats.

  • Chart of accounts with account numbers and categories
  • Multiple P&L statement formats with debit and credit columns
  • Automated calculations using SUM and VLOOKUP functions
intermediate.xlsx
Profit and Loss Statement Template previewAccounting & Bookkeeping

Profit and Loss Statement Template

A comprehensive P&L template for tracking revenue, expenses, and net profit across multiple months.

  • Monthly revenue tracking
  • Expense categorization
  • Automated calculations with SUM and IF formulas
beginner.xlsx
Profit and Loss Statement Template V13 previewAccounting & Bookkeeping

Profit and Loss Statement Template V13

Professional P&L statement with chart of accounts and multiple customizable report formats.

  • Chart of accounts with standardized account numbering
  • Multiple P&L report formats with debit/credit columns
  • VLOOKUP formulas for automated account linking
intermediate.xlsx
Profit and Loss Template previewAccounting & Bookkeeping

Profit and Loss Template

A comprehensive P&L statement template for tracking business revenue, expenses, and profitability with multiple layout options.

  • Multiple P&L sheet formats
  • Automated SUM calculations
  • Revenue tracking
intermediate.xlsx
Profit and Loss Template previewAccounting & Bookkeeping

Profit and Loss Template

A financial statement template for tracking revenue, expenses, and profitability over multiple periods.

  • Automated SUM formulas for gross profit calculation
  • Multi-period comparison columns (E through P)
  • Non-operational income tracking
intermediate.xlsx
Property Cashflow Calculator Template previewAccounting & Bookkeeping

Property Cashflow Calculator Template

A spreadsheet tool for calculating and tracking cash inflows and outflows for rental properties and real estate investments.

  • Starting balance tracking
  • Cash inflows calculation
  • Cash outflows tracking
intermediate.xlsx
PTA Reimbursement Form previewAccounting & Bookkeeping

PTA Reimbursement Form

Track and process PTA expense reimbursements with requestor details and automatic calculations.

  • Requestor name and contact fields
  • Request date tracking
  • Itemized expense entry with amounts
beginner.xlsx
Quarterly Cash Flow Projections previewAccounting & Bookkeeping

Quarterly Cash Flow Projections

Project and track quarterly cash inflows and outflows to forecast liquidity and plan for operational needs.

  • Monthly breakdown within quarterly periods
  • Estimate vs. actual comparison columns
  • Variance tracking to measure forecast accuracy
beginner.xlsx
Quarterly Profit And Loss Template previewAccounting & Bookkeeping

Quarterly Profit And Loss Template

A quarterly P&L statement template for tracking business revenue, expenses, and profitability over three-month periods.

  • Pre-formatted P&L structure
  • Automated calculations with SUM functions
  • Multiple sheet types for different formats
intermediate.xlsx
Ratio Analysis previewAccounting & Bookkeeping

Ratio Analysis

Analyze financial performance using key ratios, trends, and metrics from your financial statements.

  • Automated ratio calculations
  • Pre-built financial ratio formulas
  • Color-coded input cells
intermediate.xlsx
Real Estate Profit and Loss Template previewAccounting & Bookkeeping

Real Estate Profit and Loss Template

Track rental property income and expenses with automated monthly P&L statements for real estate investors.

  • Monthly P&L columns with automated date calculations
  • Pre-built income and expense categories for real estate
  • Automated net income calculations with SUM and IF formulas
beginner.xlsx
Rental Property Cash Flow Analysis previewAccounting & Bookkeeping

Rental Property Cash Flow Analysis

Track rental income, expenses, and cash flow across multiple scenarios for investment property analysis.

  • Monthly operating income tracking
  • Multiple scenario comparison (Scenario A & B)
  • Cumulative interest and principal calculations
intermediate.xlsx
Rental Property Income and Expenses Model previewAccounting & Bookkeeping

Rental Property Income and Expenses Model

Track monthly rental income and operating expenses across 12 months with automatic totals.

  • Monthly income and expense breakdown
  • Automated total calculations per month
  • Transaction categorization and dating
beginner.xlsx
Rental Property Income and Expenses Model previewAccounting & Bookkeeping

Rental Property Income and Expenses Model

Track rental income and operating expenses with monthly budget vs. actual comparison for property investments.

  • Income sheet with rental period date tracking
  • Expense categorization and detailed logging
  • Monthly budget vs. actual summary comparison
intermediate.xlsx
Rental Property Income and Expenses Tracker previewAccounting & Bookkeeping

Rental Property Income and Expenses Tracker

Track monthly rental income and expenses across 12 months with automated totals and categorization.

  • Month-by-month income and expense separation
  • Automated total income calculations per month
  • Transaction categorization and date tracking
beginner.xlsx
Restaurant Monthly Profit and Loss Statement previewAccounting & Bookkeeping

Restaurant Monthly Profit and Loss Statement

Track weekly P&L performance across a month with automated sales, costs, and shareholder scoring.

  • Five pre-built weekly P&L sheets
  • Automated shareholder score calculations
  • Sales and expense line items with formulas
intermediate.xlsx
SaaS Cash Flow Forecast Template previewAccounting & Bookkeeping

SaaS Cash Flow Forecast Template

Project 12-month cash flow and monitor actual vs. forecast performance for SaaS businesses.

  • 12-month rolling cash flow projection sheet
  • Separate cash flow statement for actual tracking
  • Pre-built SUM and VLOOKUP formulas for automated comparisons
intermediate.xlsx
Sales Profit and Loss Statement Template previewAccounting & Bookkeeping

Sales Profit and Loss Statement Template

Track company revenue, expenses, and profitability with a structured P&L statement covering a defined period.

  • Pre-structured P&L format with revenue and expense sections
  • Automated SUM formulas for profit calculations
  • Company name and period fields for clear identification
beginner.xlsx
Salon Profit And Loss Template previewAccounting & Bookkeeping

Salon Profit And Loss Template

A comprehensive profit and loss statement template designed specifically for salon businesses to track revenue, expenses, and profitability.

  • Pre-formatted P&L structure
  • Multiple sheet templates
  • Revenue and expense categorization
intermediate.xlsx
School Receivables Aging Report Template previewAccounting & Bookkeeping

School Receivables Aging Report Template

Track and manage outstanding student payments with an aging analysis by payment due date.

  • Student details with ID, name, and grade tracking
  • Aging category buckets (current, 30-60, 60-90, 90+ days)
  • Automated age calculations using IF and SUM functions
intermediate.xlsx
Self Employed Profit & Loss Template previewAccounting & Bookkeeping

Self Employed Profit & Loss Template

Track income and expenses monthly to calculate self-employed business profit or loss.

  • Monthly P&L columns with automatic date calculations
  • Company name and logo header
  • Full financial year layout (12 months)
beginner.xlsx
Simple Cash Flow previewAccounting & Bookkeeping

Simple Cash Flow

Track incoming and outgoing cash across periods to maintain healthy liquidity and forecast cash availability.

  • Current period vs previous period comparison
  • Company and manager identification fields
  • Automatic SUM calculations for cash totals
beginner.xlsx
Simple Cash Flow Statement for Small Business previewAccounting & Bookkeeping

Simple Cash Flow Statement for Small Business

Track cash inflows and outflows with indirect, direct, and simplified methods for accurate financial reporting.

  • Three cash flow methods (indirect, direct, simple)
  • Period-ending statement headers with date fields
  • Automatic SUM formulas for activity categories
beginner.xlsx
← PrevPage 9 / 11Next →