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Greenline Landscaping Ltd.Your profile

Financial overview

Financial year 2026 · figures in US dollars

Cash in the bank
$214,380
+$18,240 this month
Revenue this year
$1,284,600
+12.8% vs last year
Net profit margin
18.4%
+2.1 pts
Unpaid invoices
$46,920
$12,300 overdue

Cash flow

Money inMoney outNet

Profit and loss, this year

Revenue$1,284,600
Cost of sales−$612,300
Gross profit$672,300
Salaries−$288,000
Rent and utilities−$64,200
Marketing−$41,800
Other expenses−$41,900
Net profit$236,400

Invoices

InvoiceClientDue dateAmountStatus

Expenses by category

    Bank accounts

    Business current•••• 4417
    $128,940
    Tax savings•••• 2093
    $62,400
    USD card•••• 7731
    $23,040

    Bills due soon

    PayrollOct 28 · $24,000
    Office rentNov 1 · $5,350
    Sales tax (Q3)Nov 15 · $18,720

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