Open the Cash Flow Date List window.
Shows a list of cash flow forecast entries for a period of time that you specify.
The registered cash flow forecast entries are organized by source types, such as receivables, sales orders, payables, and purchase orders. You specify the number of periods and their length.
Options
Field | Description |
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From Date | Enter the first date to be included in the report. |
Number of Intervals | Enter the number of intervals. |
Interval Length | Enter the length of each interval, such as 1M for one month, 1W for one week, or 1D for one day. For more information, see How to: Enter Dates and Times. |
Tip |
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For more information about how to work with reports, see Viewing Test Reports before Posting, How to: View and Print Reports and How to: Set Filters. For more information about how to find specific pages, see Search. |
See Also
Set Up Cash Flow Forecasts
Work with Cash Flow Worksheets
Analyze and Print Cash Flow Forecasts
How to: View Cash Flow Availability by Period
How to: View Cash Flow Statistics
Walkthrough: Making Cash Flow Forecasts by Using Account Schedules
Cash Flow
Reference
Dimensions - TotalCash Flow Dimensions - Detail