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 Fastbase Accounting System - Online Manual Cash Movements Report  | 
Document 103255/1 
Entered Mon, 26 May 2003 15:44 by  
Updated Fri,  8 Jul 2005 15:27 
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Go to Reports -> Cash & Banking -> Cash Movements Report. 
 
This report shows all payments and receipts analysed by account (suppliers, customers, general ledger). 
 
Bank Account: 
Use the default or select the bank account to report on. 
 
Start Date: 
End Date: 
Enter the date range. All cash payments and receipts for this period will be reported. The date range defaults to the current GL period end processing month. 
 
Detail Report?: 
Use the default "Yes" (includes details of each payment/receipt) or enter "No" to print 1 line for each account showing the total payments and receipts. 
 
Output Device: 
Select the output device for the report. See Creating Reports - General Comments for details. 
 
Run Report. 
 
The report includes the total receipts & total payments at the end of the report. 
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