Modify a Cash Flow Projection Report
                                
                                
                                 Cash Flow Projection Summary
Cash Flow Projection Summary
                                    
                                        
                                            - In the Home window, open the Report Centre. Select Financials, 
 and then Cash Flow Projection Summary. 
        Click Modify this report.
    
- (Optional) Select the Template you want to use for the report.
- (Optional) Select Include inactive accounts.
- Select the cash account to report on.
- Enter the date you want to begin the projection on and the number of days after this 
 date that the projection should include.
- (Optional) Select transactions to include in the projection calculations:
                
- (Optional) Customize the:
- (Optional) Save the report as a template in My 
 Reports.
- Click OK to display the report.
 
                                 Cash Flow Projection Detail
Cash Flow Projection Detail
                                    
                                        
                                            - In the Home window, 
 open the Report Centre. Select Financials, 
 and then Cash Flow Projection Detail. 
        Click Modify this report.
    
- (Optional) Select the Template you want to use for the report.
- (Optional) Select 
 Include inactive accounts.
- Select the cash 
 account to report on.
- Enter the date 
 you want to begin the projection on and the number of days after this 
 date that the projection should include.
- (Optional) Select 
 transactions to include in the projection calculations:
                
- (Optional) Customize 
 the:
                
- (Optional) Save the report as a template in My 
 Reports.
- Click OK to display the report.