setup checkbook with withdrawl and deposit linked to balance

G

Guest

i am trying to setup a checkbook balancing spreadsheet that automatically
changes the ending balance when i enter the deposit or withdrawl. the
sequence is as follows:

description date deposit withdrawl
balance
starting balance
$100
credit card payment 1/1/06 $20
$80
payroll 1/2/06 $300
$380

any sugessions please. explain to me step by step what to do please.

i am using microsoft office 2003
 
P

Paul B

shamsi, there is a checkbook register here you can download,
http://office.microsoft.com/en-us/templates/TC010186511033.aspx

I also have one, if you would like to take a look at it post back and I will
e-mail you a copy

--
Paul B
Always backup your data before trying something new
Please post any response to the newsgroups so others can benefit from it
Feedback on answers is always appreciated!
Using Excel 2002 & 2003
 
G

Guest

i have this checkbook register and it was working great until this morning
when the balance simply stopped working automatically.i tried copying the
formula into the empty cell in the balance column in the hope that it would
continue to do the work for me on its own next time,but it didnt.can anyone
help me?
 

Ask a Question

Want to reply to this thread or ask your own question?

You'll need to choose a username for the site, which only take a couple of moments. After that, you can post your question and our members will help you out.

Ask a Question

Top