Addition of the Cash Flow Statement as part of the Monthly Management Reports
This report is useful to assist Financial Managers to plan and forecast their cash flow movements. This report should be part of your standard management reports, income statement, balance sheet and cash flow statement.
What is the workaround for the problem today?
For now I am having to built this manually from my bank GL
Dear Sage team, I do not understand why this idea is being ignored. Its been 9 months now and has been well voted for amongst the Sage community.
I agree a cashflow statement needs to be included among the default standard reports
I agree with you, its been long overdue.
This idea should be set to "planned" status by now