Starting at the top and working your way down, complete and calculate the cash flows for each of the six sections. Once you’ve computed the entire worksheet, including the Cash Flow Summary, you can then go back and edit your entries. Once you’re comfortable with your Cash Flow Forecast you can then click on the “Create Report” button at the bottom of the worksheet. This will create a condensed report in a new window that you can print out and refer to when creating your spending plan.