The Cash and Bank Analysis module is used to generate an analytical report regarding the company's cash and bank balances. This report provides a summary of the company's liquidity position on a specific date, often grouped by currency type or bank account.
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:
Currency Account: Select the currency type to be displayed, whether based on Transaction Currency or Base Currency.
Account (Cash+Bank): Select All to display all cash and bank accounts, or Selected to choose specific accounts.
Balance period: Specify the reference date ("as of" date) for the balance position to be displayed.
2. Steps to Generate the Report
Step 1: Set Report Parameters
Define the parameters you need, especially the As of date (Sampai dengan).
Step 2: Generate the Report
After all parameters are set, click the [Display Report] button at the bottom.
3. Reading the Report (Report Content)
The generated report is a balance summary for each cash and bank account.
Report Structure: This report displays a list of all cash and bank accounts (Account Name), grouped by their currency.
Key Column: The Balance column displays the ending balance for each account on the selected date.
Tips & Important Notes
This report is very similar to the Cash and Bank Balance Position Report in the Finance module, but may be presented from a different analytical perspective.
Use this report to get a quick overview of the company's total liquidity per currency.
This is an important summary report for Finance Management and Treasury.
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