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.
What do you want to do?
Change the presentation of this report in the report viewer
Print this report
View detailed information
about a specific part of this report
Search for text in this report
Open this report
in Microsoft Excel
Export this report
to another format
Change
your default printer settings for reports
Refresh this report