This spreadsheet is designed to help property owners and managers calculate and analyze the cash flow of their properties. It includes sections for instructions, starting balance, total cash inflows, total cash outflows, and net cash.
Starting Balance: Enter the initial amount of cash available for the property.
Total Cash Inflows: Calculates the total amount of cash received, such as rental income and other income sources.
Total Cash Outflows: Calculates the total amount of cash spent on expenses, such as mortgage payments, property taxes, insurance, and maintenance.
Net Cash: Determines the net cash flow by subtracting total cash outflows from total cash inflows.
원천: 사용자 정의 계산기
다음 아이콘을 클릭하면 새 탭에서 전체 통합 문서 뷰어가 열려 쉽게 편집하고 저장할 수 있습니다.
다음 아이콘을 클릭하면 스프레드시트를 다운로드할 수 있으며, 편집한 내용을 컴퓨터에 저장할 수 있습니다.