Cash Flow Checklist

💰 Cash Flow Checklist

Use this checklist to manage and review your cash flow weekly and monthly.

📥 Income Tracking

TaskDone
Record all income sources (sales, subscriptions, services)
Check for delayed payments or outstanding invoices
Log new transactions into accounting system or spreadsheet

📤 Expense Monitoring

TaskDone
List all fixed expenses (rent, salaries, software)
List all variable expenses (ads, events, supplies)
Categorize and tag all transactions
Cancel or renegotiate unnecessary subscriptions

📈 Cash Flow Forecast

TaskDone
Estimate income for next 4 weeks
Estimate expenses for next 4 weeks
Calculate projected balance
Plan for any funding gaps or surplus allocation

📅 Weekly Cash Flow Review Timeline

DayActivityComplete
MondayUpdate last week’s income & expenses
TuesdaySend invoices & check incoming payments
WednesdayReview bank balances and reconcile statements
ThursdayIdentify upcoming large expenses or deadlines
FridayFinalize cash flow report and make adjustments

📊 Monthly Cash Flow Summary

TaskDone
Compare forecast vs actuals
Prepare and save monthly cash flow statement
Discuss results with team or advisor