Cash Flow Group Aggregate Statement Analysis

In the Cash Flow Group Aggregate Statement Analysis report, you can verify entity balances at the group level for all cash flows of individual entities.

Select Cash Flow > Group Cash Flow > Create Group Cash Flow > Cash Flow Group Aggregate Statement Analysis.

In the report, you can filter by an entity or multiple entities. All entities that belong to the selected group are selected by default. You can remove the unnecessary entities from the view. If you change the group in the context, the entities to select also change.

Note: Values that are displayed in the Cash Flow Group Aggregate Statement Analysis report are raw data that isn't affected by the global sign definition. Assets, liabilities, and income are stored as positive values. Expenses are stored as negative values. If the global sign is defined differently, it isn't reflected in the report.