TRAVERSE Global v11.1
Cash Flow Contents List
Use the Cash Flow Contents List function to produce a list of cash flow contents. Use the list to make sure that the contents are correct. Produce a new list each time you add or change cash flow contents. To edit the cash flow contents, use the Cash Flow Contents function.
- Use the Data Filter to select the range of filtering options or leave the filter blank to include all available data.
- Select, if applicable, the Banded Rows check box to highlight alternating lines on the list to make the report easier to read.
Note: Use the Print Preferences function in the System Manager Business Rules to define the default setting for this check box. You can then override this default when you print the list. - Click a command button to
Click | To |
Process the Cash Flow Contents List. | |
Output | Output the list as a PDF. |
Send | Save the list as a PDF and attach it to an email using your default mail program. |
Preview | View a preview of the Cash Flow Contents List. |
Reset | Set all fields to their default values. |