Cash Flow Forecast Card Window
Specifies cash flow forecasts to calculate the cash inflows and outflows of your business and to save the values as history. For example, you can set up the cash flow forecast for every week or every month.
Every cash flow forecast has its own cash flow forecast card. For each cash flow forecast, you must set up a card on which you enter basic information, such as the cash flow forecast number, discount possibilities, payment terms, manual expenses, and manual revenues.
General FastTab
The FastTab has the following key fields.
Field | Description |
---|---|
No. |
Specifies the number for your cash flow forecast. You can use one of the following methods:
|
Consider Discount |
Select to have the cash discounts assigned in entries and documents reflected in the cash flow forecast. |
Consider Pmt. Disc. Tol. Date |
Select if you want to use the payment discount tolerance date when the cash flow date is being calculated. You can only select this option if you choose to take the discount into consideration. |
Consider Pmt. Tol. Amount |
Select to use the payment tolerance amounts from the posted customer ledger entries and the vendor ledger entries in addition to the payment tolerance amounts from the general ledger for sales and purchase orders in the cash flow forecast. |
Consider CF Payment Terms |
Select if you want to use the cash flow payment terms that are defined for customers or vendors.
Note
If the check box is selected, but cash flow payment terms are not defined for customers or vendors, the standard payment terms are used.
|
G/L Budget From |
Enter the start date from which you want to use the budget values from the general ledger in the cash flow forecast. |
G/L Budget To |
Enter the last date from which you want to use the budget values from the general ledger in the cash flow forecast. |
Manual Payments From |
Enter a start date from which manual payments should be included in the cash flow forecast. |
Manual Payments To |
Enter the last date from which manual payments should be included in the cash flow forecast. |
Show in Chart on Role Center |
Select to display the cash flow chart on the Role Center.
Note
You can select the check box for only one cash flow forecast at a time.
|
Tip
For more information on how to navigate in the user interface, see Work with Microsoft Dynamics NAV. For assistance in finding specific pages, see Search.
See Also
Reference
Other Resources
How to: Set Up Cash Flow Forecasts
How to: Set Up the Chart of Cash Flow Accounts
How to: Set Up Liquid Funds for Cash Flow Forecasts
How to: Configure Accounts for Cash Flow Setup
How to: Record Manual Revenues
How to: Record Manual Expenses
Cash Flow Overview
Set Up Cash Flow Forecasts
Work with Cash Flow Worksheets
Analyze and Print Cash Flow Forecasts
Cash Flow Date List