Please help me - I've noticed that the NAV 2013 Cashflow forecast seems to duplicate actual data with budget data rather than letting the actual take over.
Eg budget sales of £100k for the month, then during the month £90k of sales actually come in - but the cash flow forecast shows £190k of sales ...so the cash figure is very inflated!
Am I missing something to stop this happening as it can't be correct?
Thanks!
*This post is locked for comments