For this assignment, you will create a budget and chart analysis for a fictitious business. Its purpose is for you to learn best practices for utilizing spreadsheet software (e.g., Excel, Google Spreadsheets, etc.). The final product will consist of two parts: a budget and a chart.
Excel Activity
- Excel Formulas

(Excel Activity Walk Through) - Review the tutorials within the Productivity Software module item (presented earlier in the course).
Workbook Requirements
- Save your workbook in .xslx or .xls format.
Spreadsheet Budget Analysis and Chart Parameters:
- The budget must detail at least four expenses (rent, utilities, etc.) and show income (sales, etc.) for at least four months. Display on a single sheet.
- Each expense and month should be appropriately labeled.
- The spreadsheet must use at least four different functions/ formulas (to total, add, subtract, divide, etc.)
Must have a total column and total row for expenses and income. Use a function here with cell ranges. Must have a row that has a formula showing net income after expenses. Use a formula here. Include cells that show the average and also maximum total monthly expenses. Must use a function for these. - Include an appropriate chart showing only net income for each month.


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