Modify the Statement of Cash Flows Report
        
        
            - In the Home window, 
 open the Report Centre. Select Financials, 
 and then Statement of Cash Flows. Click Modify this report.
 
            - Select Current 
 Year or Previous Year.
 
            - Select the dates 
 (Range or Start 
 and Finish) for the report.
 
            - (Optional) Select 
 Yes to revalue foreign currency accounts 
 with different exchange rates.
 
        
        
            - (Optional) 
 Click Web 
 to open your exchange 
 rate web site and get the latest rate. 
            - Type the new 
 exchange rate for the currency.
 
        
        
            - (Optional) 
  
 Select Show notes to include account notes. (Premium)
 
            - Customize the:
            
 
            - (Optional) 
 Save 
 the report as a template in My 
 Reports.
 
            - Click OK 
 to display the report.
 
        
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