Cash Flow


Workcube Cash flow enables businesses to follow their financial activities and financial situations. The cash inflows and outflows of an accounting period are followed on the cash flow statements.


Route: ERP > Finance Accounting > Cash Management > Cash Flow


It is possible to list according to the desired criteria in the filtering field.

  1. The company whose cash flow is to be displayed is selected.
  2. By selecting the project, the cash flow of the relevant project is displayed.
  3. The cash flow between specified dates is displayed.
  4. According to the selections in this field, cash flow tables are displayed on the basis of Day, Week and Month.

After clicking the Search button, the cash summary is displayed according to the selections made in the filtering. By clicking on the amounts of the transactions, the record details of the transactions with the total amount can be displayed.

The cash flow table displayed according to the Day, Week and Month selections made in the filter field is listed as Income and Expenses.

By clicking on the marked area in the table, columns that are desired to appear can be added or removed using checkboxes.

The generated cash flow statement can be opened as Google Sheets, Excel, Word, PDF, sent as e-mail, and also printed.

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