This Balance Sheet is a Microsoft Excel Spreadsheet so you can download it, edit it, and even print it to keep track of your goals. This spreadsheet is ideal for balancing and keeping track of assets and equity. The formulas are already in place and only need your figures inputted. Make sure you know what you need to do to achieve the growth you want in the next 12 months.
There are two ways you can manage your business. You can let it run itself and hope for the best, or you can step up and take the reins. This Balance Sheet was designed to help you project the income, assets, and expenses as they will be at the end of the next twelve months. You might realize that to grow at the rate you want, you'll need additional financing for new resources whether it's employees or equipment. Use data from your previous year as a jumping off point as you create a budget plan.
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