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This is what I do and it's working out really well for me. Hope it works for you. It looks something like this Checking Balance $------------ Payroll Deposit $-------------- Savings Deduct $----- Cash on Hand Deduct $------- I will keep putting any expenses that I have to pay for that week and then add everything up and start the process all over again for the next week. I have about 4 months worth of this information on my excel sheet. Let me know if you need me to explain anything.. Also if you have different tips please share. |
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