Bookkeeping Excel Template

Bookkeeping Excel Template

£39.99
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Bookkeeping Excel Template
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Bookkeeping Excel Template

£39.99

Turn bank transactions into organised bookkeeping, a monthly Profit & Loss, an indicative VAT summary and a clear business dashboard - all in Microsoft Excel.

Full product description

Keep your bookkeeping organised without starting from a blank spreadsheet.

The Finreportly Bookkeeping Template is a guided Excel system for small-business owners who want a simpler monthly process. Paste a bank CSV export, map the bank's columns, let reusable rules suggest categories and VAT treatment, then review only the transactions that need attention.

Approved bank transactions and manual entries feed a structured transaction ledger, bank reconciliation, monthly Profit & Loss, indicative VAT Summary and visual Dashboard. Built-in checks highlight incomplete records before you rely on the reports.

What the workbook helps you do

Paste up to 500 bank transactions from a CSV export

Map common bank layouts with separate debit and credit columns or one signed Amount column

Suggest categories, VAT rates and reporting treatment from editable description rules

Override any suggestion without changing the original bank data

Review exceptions, possible duplicates and incomplete entries in one place

Add cash, accruals, corrections and other non-bank entries manually

Maintain a calculated transaction ledger

Reconcile one business bank account by month

Produce a monthly and full-year Profit & Loss

Review an indicative monthly VAT position

Monitor cash, sales, costs, net profit and VAT on a visual dashboard

Read automatically generated plain-English bookkeeping commentary

Confirm internal consistency with a clear MODEL STATUS: PASS control

A simple monthly workflow

Complete the guided Setup sheet.

Paste one bank CSV export into Bank Import.

Map the bank's date, description and amount columns.

Resolve any REVIEW items and confirm the READY transactions are sensible.

Add any non-bank activity in Manual Entries.

Enter the statement closing balance in Bank Reconciliation.

Confirm Checks shows PASS, then read the Dashboard, Profit & Loss and VAT Summary.

What is included?

Blank Bookkeeping workbook v1.0

Completed three-month demonstration workbook v1.0

Six-page Quick Start Guide

Finreportly Customer License

Who it is for?

Sole traders and owner-managed businesses

Freelancers, consultants and service businesses

Small product businesses with straightforward bank-led bookkeeping

New business owners building a consistent monthly finance routine

Bookkeepers supporting one licensed client business

Designed for bookkeeping beginners

The workbook uses a guided, colour-coded structure. Yellow cells are for user entries or choices, light-blue areas contain calculations or reference data, and READY / REVIEW / PASS statuses show where attention is needed. The included demo workbook shows the complete process before you start with the blank copy.

Important information

Designed for Microsoft Excel 365 or Excel 2021 and later; desktop Excel is recommended.

No macros, subscriptions or external connections are required.

Version 1.0 is presented in GBP and supports one bank account per working copy.

Each working copy supports up to 500 bank rows and 150 manual entries.

Compatibility with Google Sheets, Apple Numbers, mobile apps and older Excel versions is not guaranteed.

The VAT Summary is indicative and may not cover VAT schemes, partial exemption, reverse charge, imports or other special treatments.

This is a management bookkeeping template, not statutory accounts, payroll, inventory, invoicing, tax-return or VAT-filing software.

Buyers are responsible for the accuracy, completeness and accounting or tax treatment of their entries.

This is a digital product; no physical item will be shipped.

Purchase provides a single-business license. A separate license is required for each additional business or client.

Key selling points

Bank CSV import with flexible column mapping

Reusable automatic categorisation rules

Focused exception and duplicate review

Manual adjustments and calculated transaction ledger

Monthly bank reconciliation

Profit & Loss and indicative VAT Summary

Visual dashboard with plain-English commentary

Built-in model checks

Blank and completed demonstration workbooks

Quick Start Guide and Customer License included

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