Cash Flow Forecasting Import

Overview

The system allows to import the cash flow forecasting report, the treasury users will provide an excel file containing a specific format that contains several calculations for each group.

Navigation

Treasury Management ► Cash Flow Forecasting Report ► Cash Flow Forecasting Import

Cash Flow Forecasting Import Screen and Tabs

FieldsDescriptions
Fiscal YearBy default, the fiscal year is the current fiscal year which is open for the transaction. The user can select another fiscal year to import.
VersionInformation about the version.
Upload FileThis feature allows you to import excel file to import.