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Cash Flow Statement

The Cash Flow Statement in Manager.io offers a comprehensive overview of your business’s cash inflows and outflows. This essential report helps you monitor liquidity and assess your organization’s financial stability.

Follow these steps to create a new Cash Flow Statement:

1. Navigate to the Reports Tab

  • In the left sidebar of Manager.io, locate and click the Reports tab.

2. Open the Cash Flow Statement Option

  • Within the Reports section, find and select Cash Flow Statement from the list of available reports.

3. Create a New Report

  • Click the New Report button at the top right to initiate a new Cash Flow Statement.

Cash Flow StatementNew Report

By following these steps, you can generate a Cash Flow Statement to gain valuable insights into your company’s cash position in Manager.io.