Cash Flow Forecast: Difference between revisions

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| [[File:Template.Tips-01.jpg|60px]]|| The '''Balance b/d''' is Total of all ''Payment Method''.
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==Cash Flow Forecast==
==Cash Flow Forecast==

Revision as of 05:52, 20 December 2016

Menu: Inquiry | Cash Flow Forecast...

Introduction

1. It is a cash flow forecast based on the possibility to resolve into cash from Trader Debtors (Customers) and Trade Creditors (Suppliers).
2. Criteria to define for cash flow forecast are:-
a. Customer Due Documents
b. PD Cheque Received
c. Supplier Due Documents
d. PD Cheques Issue
Inquiry-Cash Flow Forecast-01.jpg



Template.Tips-01.jpg The Balance b/d is Total of all Payment Method.

Cash Flow Forecast

Summary

1. You can select different interval to analyse the cash flow forecast.
2. Interval selections are:
a. Daily
b. Weekly
c. Monthly
d. Quarterly
e. Half-Yearly
f. Yearly
Inquiry-Cash Flow Forecast-02.jpg



Detail

1. Highlight the interval.
Inquiry-Cash Flow Forecast-03.jpg


2. To check the details for the interval. Click on Detail.
Inquiry-Cash Flow Forecast-04.jpg


Graph

1. Highlight the interval.
Inquiry-Cash Flow Forecast-03.jpg


2. To view the graph for the interval. Click on Graph.
Inquiry-Cash Flow Forecast-05.jpg


See also