Use this checklist to manage and review your cash flow weekly and monthly.
Task | Done |
---|---|
Record all income sources (sales, subscriptions, services) | |
Check for delayed payments or outstanding invoices | |
Log new transactions into accounting system or spreadsheet |
Task | Done |
---|---|
List all fixed expenses (rent, salaries, software) | |
List all variable expenses (ads, events, supplies) | |
Categorize and tag all transactions | |
Cancel or renegotiate unnecessary subscriptions |
Task | Done |
---|---|
Estimate income for next 4 weeks | |
Estimate expenses for next 4 weeks | |
Calculate projected balance | |
Plan for any funding gaps or surplus allocation |
Day | Activity | Complete |
---|---|---|
Monday | Update last week’s income & expenses | |
Tuesday | Send invoices & check incoming payments | |
Wednesday | Review bank balances and reconcile statements | |
Thursday | Identify upcoming large expenses or deadlines | |
Friday | Finalize cash flow report and make adjustments |
Task | Done |
---|---|
Compare forecast vs actuals | |
Prepare and save monthly cash flow statement | |
Discuss results with team or advisor |