Entering cash flow forecast data
Use the Cash Flow data entry page to perform cash flow calculation and analysis on forecast data.
- Click the Home icon.
- Select Applications > Financial Applications > Cash Flow > Data Entry > Data Entry Forecast.
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Optionally, specify this information:
- Selected Account
- Select an account.
- Standard Dimensions
- Select a version, entity, and organization. The selected configuration set and currency are displayed. Only active accounts are available for selection.
- Report Functions
- Select the report options to use. You can show hierarchy, show inverted hierarchy, and select to show only active or activated accounts.
- Click the Data Entry tab.
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Click in the cell in which to write a value.
Editable cells have a white background. When you click a cell, a border is displayed around the cell. You cannot write to aggregated accounts.
- Specify a value and press Enter. If you specify a value for the year, the value is spread to the individual periods.
- Optionally, you can select a year and version from the lists in the top row to view comparison data.
- Optionally, click the Account Analysis tab to view detailed information about the selected account. This tab displays if you selected an account by clicking Select Item under Selected Account.