Welcome to the AccountingExL Store.
Download an Excel accounting template, spreadsheet or reconciliation to make your accounting easier.
All templates and spreadsheets are available for immediate download via link after check out on the checkout page. You will also receive an e-mail link via the e-mail that is provided at check out.
Download and Enjoy!
Services Invoice
A free services invoice used to bill your clients
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Excel Jumpstart – Learn Excel in Under an Hour
A beginners course to Microsoft Excel.
Business Plan PowerPoint Presentation – 10 Elements of a Good Plan
This business plan PowerPoint presentation walks you through the 10 elements of a good business plan. The presentation has links to helpful resources available for building your business plan for your business.
Startup Business Plan Bundle
The Startup Business Plan Bundle helps you easily build your business plan by giving you the templates, examples and resources you need to build a successful business plan.
AccountingExL 1.0
AcccountingExL is an Excel based accounting system that provides the user with a lower cost alternative to subscription based accounting systems. AccountingExL is also used a simple tool for updating a business’ books.
AccountingExL 2.0 – Accrual Basis
AcccountingExL 2.0 – Accrual Basis is an Excel based accounting spreadsheet designed to help accountants and small business owners keep track of their accounting on an accrual basis.
AccountingExL 2.0 – Cash Basis
AcccountingExL 2.0 – Cash Basis is an Excel based accounting spreadsheet designed to help accountants and small business owners keep track of their accounting on a cash basis.
Financial Statement Template
A basic financial statement template including balance sheet, income statement, statement of cash flows and statement of owners equity.
Financial Forecast Template – Services Business
A three year financial forecast template designed for a services business. Allows you to build a three year financial forecast by entering in sales and expense information. Automatically populates the Income Statement, Balance Sheet and Statement of Cash Flows.
Financial Forecast Template – Product Business
A three year financial forecast template designed for a product sales business. Allows you to build a three year financial forecast by entering in sales and expense information. Automatically populates the Income Statement, Balance Sheet and Statement of Cash Flows.
Cash Reconciliation
Used to reconcile cash for multiple bank accounts.
Statement of Cash Flows Worksheet
Used to assist in the preparation of the Statement of Cash Flows
Weekly Cash Projection Worksheet
Used to assist in projecting short term cash needs.
Accounts Receivable Tracker
Used to record and track customer billings and payments.
Prepaid Expense Schedule
Used to record and maintain prepaid expenses on a monthly basis.
Ultimate Prepaid Expense Schedule
Used to record and maintain prepaid expenses on a daily basis.
Fixed Asset Depreciation Schedule
Used to maintain monthly fixed asset records and record depreciation expense by category over a fifteen year period. Information is summarized by month, quarter, and year.
Fixed Assets Schedule
Used to record depreciation and maintain fixed asset balances on a monthly basis.
Intangible Assets Schedule
Used to record amortization and maintain intangible asset balances on a monthly basis.
Accounts Payable Schedule
Used for tracking bills and payments to vendors and preparation of 1099’s
Mortgage Payment Schedule
Easily create a mortgage payment schedule in seconds by entering in key information about your mortgage.
Loan Payment Schedule
Easily create a loan payment schedule in seconds by entering in key information about your loan.
If you need assistance with a download, please e-mail admin@accountingexl.com