Dan_Moulton
12 years agoFormer Staff
Status changed:
New
to Open
Interesting idea. Would this look like a combination of the existing Cash P&L combined with the existing P&L Budget report? Or would you need to adjust for customers credit terms? We do have ideas for rebuilding the Cashflow analysis/worksheet to make it easier to forecast cashflows so I wonder if that would help. Thanks for the feedback.
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