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Microsoft Dynamics SL (Archived)

Forecasting Cash Flow in Cash Manager

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Is anyone using the forecasting options in Cash Manager to generate an in depth cash flow projection?  If so, how are you entering recurring anticipated disbursements/receipts that occur frequently and are of the same description without having them appear on a separate line on the Cash Flow Projection Report, thus creating a long, messy report?

Any input will be greatly appreciated!

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