AR AP Cash Flow Report

Report Module Guide: AR AP Cash Flow Report

Module Location

Finance > Reports > AR AP Cash Flow Report

Module Objective

The AR AP Cash Flow Report module is used to generate a summary report that quickly projects the cash position. This report calculates an estimated remaining cash balance by taking the current bank balance, adding the total receivables that are due, and subtracting the total payables that are due in a specific period.

1. Report Parameters (Filter)

The main page of this module is a form containing various parameters to customize the report that will be generated.

Here is an explanation for each parameter:

2. Steps to Generate the Report

Step 1: Set Report Parameters

Define the parameters you need, especially the Period and the bank Account.

Step 2: Generate the Report

After all parameters are set, click one of the two buttons at the bottom:

3. Reading the Report (Report Content)

The generated report is a simple calculation summary for projecting the cash position.

Here is how to read it:

Tips & Important Notes


Revision #1
Created 8 October 2025 09:22:17 by Muhammad Ali Akbar
Updated 8 October 2025 09:23:55 by Muhammad Ali Akbar