How to effectively manage the Cash Flow Forecasting by using NAV/Business Central

Hi all,

I used the Cash Flow Forecasting in NAV/BC and that's somehow fine, but sometimes it's inaccurate or the report is not fully clear specially when you show to the Business managers.

 I am looking for some guides to How to effectively manage the Cash Flow Forecasting by using NAV/Business Central.

in the past I used sheets and this is great but normally need more manual works, I need to utilize NAV/BC very well.

Thanks in advance

  • Dears, Is my discussion has a value: 

    How to effectively manage the Cash Flow Forecasting by using NAV/Business Central?

    Thanks in advance

  • Difficult to say what is wrong in your setup or what you are doing wrong, without seeing it. And are you doing this in a production or demo environment?

    I assume you've already checked out this video, if not then let me suggest it to you to start with: