Building on years of work, I’m pleased to release an Excel Checkbook Register template that is targeted for small business.
“I mistakenly thought that Excel would have a simple and easy to use checkbook register template. Not so! They offer one but it was extremely frustrating to use. However, your spreadsheets were extremely easy to use and I thank you very, very much for sharing your expertise!” (John J.)
In a hurry and want the spreadsheet template right away? Click here.
System Requirements / Compatibility Notes: You must already have the Microsoft Excel program on a Mac or Windows PC. This Excel template is compatible with Excel 2021 or higher (Windows). It is not compatible with the free Excel online (web) version, nor Google sheets, LibreOffice, OpenOffice, or any other office clone. For Mac users, you will need Microsoft 365 in order for the dashboard to work as ‘power query’ is not available in older versions of Excel for the Mac. If needed, the latest version of Microsoft Office is available for $99.99/year (or $9.99/month) with the first month free, or as a one-time purchase (no subscription).
Tip to save money: Microsoft has a discount program that offers 30% off of Microsoft 365 for many employees, teachers and current/past military.
Summary of Features
- Manage up to 10 different bank accounts (checking, savings, credit cards)
- Easily categorize each entry to track spending by category
- Easily specify which business the transaction is for if you use one bank account for multiple businesses
- See a visual reminder at the top of each register with current balance, future balance, and last check number entered
- Enjoy two ways to reconcile your checkbook with your bank statement
- Gain the ability to quickly post recurring transactions and deposits to your register with a single click
- View your spending with a dashboard which displays charts for deposits & withdrawals by category and sub-category, with buttons to filter your data by year, month, register and/or category
- View your spending with a text-based report, suitable for printing, which also features convenient buttons (slicers) to filter your transactions by year, register, category, and business
- View a profit & loss statement with filter buttons to choose a specific year and/or business
- Accelerate data entry with convenient drop-downs for Date, Trx Type, as well as a drop-down list of frequent Payee/Descriptions which will auto-populate your preferred category when chosen
- Enter recurring future transactions quickly
- Split a transaction across multiple categories for better tracking of spending, especially helpful for large expenses and/or when a transaction should be split across your different businesses
- Enter a transfer transaction (e.g., a withdrawal from checking which deposits to savings) as a single entry to save time.
Up to 10 Registers
You can record transactions for ten different bank accounts. Those can be any combination of checking, savings and/or credit card accounts — anything that has transactions with dates and dollar amounts.

Post Future Transactions with a One-Click Button
This feature makes it super quick to post your recurring transactions into your checkbook with a single button click. In other words, you can create a list of expenses that you have every month, and when you want to paste them into your register, you can click a button and all of them will get entered! These can also be separated into groups, in case you only want to post a subset early in the month and a different set when it’s later in the month. Note: a VBA macro is embedded in the template for this feature. Learn more about macros.

Why is this handy? I like to keep an eye on my bottom line. How much money will I have at the end of the month before I get paid again? By putting in those future expenses, it helps me see how much money I’ll likely have later in the month.
Split a Transaction
For larger expenses or deposits, you can click a button to split out the amounts into different categories for more accurate tracking of your expenses.


Enter a Transfer Between Two Accounts
If you often move money between two accounts (e.g., from a checking account to a savings account), this feature accelerates the data entry so that you only have to enter one entry and it will create the corresponding entry in the other account.

Reconcile Transactions
If you need to reconcile your transactions against your monthly bank statement, there are two different features to make that task easy. The first feature will show you the total dollar amount of withdrawals, deposits and checks that you have already entered into your spreadsheet for the date range specified. This is often all that is needed to confirm you have everything entered correctly.

When needed, you can also review each transaction against your monthly bank statement. As you mark each one with an “R”, the screen will subtract each amount from the totals displayed.

Financial Dashboard
The financial dashboard consolidates all of your bank accounts to a single dashboard. There are filter buttons to easily focus in on a particular year, month, category and/or to focus on a specific bank account and/or a specific business. Note: a VBA macro is embedded in the template for this feature. Learn more about macros.

Financial Report/Statement
View a text-based report with filter buttons to see expenses and credits by year, month, category, bank account, and a specific business.

Profit & Loss Statement (P&L)
Easily view a profit and loss statement with options to see it by year, month and per small business.

Demonstration Video
- View this walk-through video on how to use the checkbook spreadsheet
Click the purchase button to download
Thank you for a great program. I am thrilled to have this program to work with. It is very easy to navigate even for the person who doesn't work with excel much. The directions to get started are very clear and easy to understand. I appreciated it very much!
I am so excited for the "split" feature!! I am LOVING your checkbook template 😀
Thank you for making it available at such a reasonable price.
As a now former Quicken user, who hated the $72/year fee they charge for the privilege of getting an app for mobility, I wish there were 10 stars instead of 5 for this software - it's well deserved. I've been trying out various alternatives and have never found anything sufficient for my needs. Until now! This software is so well thought out. It does everything I need in a register without being bloated. Nice interface, and I am extremely impressed with how much documentation and how-to videos there are behind the software. WAY beyond what you expect for software in this category. The software reflects how important customer satisfaction is. Customer Support is beyond belief. I have only just bought it and already, I'm excited to push DEL on my Quicken software. This gets HUGE thumbs up for flexibility and reliability as well as over the top customer support. You won't be sorry you bought it. I've never written this glowing of a review before (and I've written many) - it's worth every penny.
Thank you Cheryl! You made my day!
Thanks
If I could reach through this internet connection I’d kiss you right on the lips! I have been looking desperately for an easy to use checkbook program for a small group that wouldn’t break the bank AND that a novice Excel user could relate to. I did try to get fancy one time and wiped out part of my page, but with a small nudge from my Excel expert kids, everything is now back to rights.
I absolutely recommend this product, especially for those old folks like me that need an easy to use, but very useful, checking accounting program. 5 Stars!
A note about macros / security warning / how to fix
This Excel template is a macro-enabled file. If you use Microsoft Windows, please see this article for steps to follow.
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when you say manage up to 10 bank accounts… does that mean one can only make 10 register tabs on the sheet? or you can work with 10 bank accounts per register tab?
Hi, the current version supports up to 10 register tabs. While it is technically possible to add more register tabs (worksheets), it’s a fairly daunting process due to the number of formulas and named references that need to be added and revised. How many registers might you need?
I need you as a developer to help my small business add to this register and make a treasurer’s report monthly and an unpaid bills report, as well as a deposit detail monthly
at the end each year I may need additional reports for my auditor, I am willing to pay for you to help me with this but need help, I am ditching quickbooks for my non profit business and need help