This report forecasts cash needs for a specified linked checking account, based on information you've entered throughout MYOB AccountEdge. Information includes all recorded transactions, along with recurring transactions entered in the Banking, Payroll and Accounts command centers. Recurring transactions entered in the Sales and Purchases command centers will not appear in this report.
Unlike all other reports that you display and print using the Report Display window, the Cash Flow Analysis report is viewed and printed through the Cash Flow Worksheet window. There are two filter selections in the Worksheet view of that window -- Bank Account and Days to Look Ahead.