The list in the middle of the window displays the transactions your company is due to perform during the time period you specified. Any transactions that are overdue also appear here.
If you accept the default number in the Days to Look Ahead field without making an entry in the field and no transactions appear, press
Tab to refresh the window.
You can also add transactions to the list. To do this, scroll to the bottom of the list and add transaction information in the blank line. When you’re finished, press tab to create a new line, where you can enter additional transaction information.
The Cash Flow Worksheet window now lists the transactions that appeared in the previous list with a running balance.
If you want to make changes to the listed transactions, click Return to Worksheet, make your changes and then click
Analyze Cash Needs again.