Cash Flow Statement Management Report - (Changes and Irregularities)

Problem reported by April Loreto 2 years ago

Dear Team,

Recently when i generated the report some changes are happening- bank revaluation (forex expenses) are also reflected in adjustment before the Net Cash Movement "as reversal" and when clicking the Cash flow detail it shows different information.

Can you please do the needful.

Thank you,

1 Reply

Hi April,

Would you be able to submit a support ticket by clicking Need Help? at the top right of your account including an example Bank Revaluation transaction and date?

Thanks,

Tommy

Reply to this problem

Attach images by dragging and dropping or upload
 

Your comments will be public and can be answered by anyone in the Clear Books community.

Find out what we do and who we are