Hello all,
Is there a way to make the beginning cash flow show up on a cash flow report in frx if the prior year is still open?
Our fiscal year ended June 30 and we normally leave the year open until after we have our audit. I am trying to run a cash flow for July 30 however it is not giving me a beginning cash balance.
By the way we are using GP 2010
I have attached an image
Please advise
*This post is locked for comments