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Home/Knowledge Base/Accounting/Cash Flow Summary

Cash Flow Summary

May 1, 2025

Go to Accounting, select Cash Flow Summary.

1.Select the Financial Period

  • Choose the desired start and end dates for the financial period from the dropdown list.

2. Select the Report Type

  • Choose the report type (e.g., Monthly) from the available options.

3. Click Submit

  • After selecting the financial period and report type, click the Submit button to generate the report.

4. Export the Report

  • Once the report is generated, click the Export button on the right side and select excel to export the Cash Flow Summary.

Output

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