MANAGE CASH FORECAST ACCOUNTS

Use the Cash Forecast Accounts setup screen to establish valid cash accounts for the activity that you want to include in the Cash Forecast. You assign cash accounts to the system-driven calculation of the beginning cash balance in the Cash Forecast Report. These are based on the type and number of cash accounts that your company uses.

You have the option to query and select the template to which the cash forecast accounts can be linked. In such cases, the template displays in the non-editable Link Cash Forecast Template field.

Enter the cash accounts on this screen after you create the cash forecast template on the Manage Cash Forecast Templates screen.

For more information, see the Cash Forecasting Overview.

Location

Identification

Link Cash Forecast Template

Click to select a cash forecast template to link to the selected cash forecast accounts. The selected template displays in this non-editable field.

Table Window

Account

Enter a cash account, or click to select one from a list. Data entered for this cash account is included in the cash forecast. You can use the same, different, or multiple cash accounts for your cash forecast setups.

Account Name

The account name for the account displays in this field.