Receipts

 

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Analyze Estimated Cash Flow

Overview

 

 

 

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Estimated Cash Flow Analysis

Estimating Cash Flow

 

Navigation

Select Bank Reconciliation Reports menu > Estimated Cash Flow Analysis. On the Main tab, click Receipts.

Overview

Use Receipts to enter any anticipated receipts that are not automatically recorded through the Accounts Payable, Accounts Receivable, Payroll, and/or Purchase Order modules (for example, sales tax payments, IRS refund checks, or payroll expenses). The dates displayed are the period ending dates entered in Estimated Cash Flow Analysis.

Fields

 

Other Receipts Expected

 

 

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