Cash Forecasting by GL Periods

 

NAME: Cash Forecasting by GL Periods
SHORT CODE: CEFCSHAP
MODULE: Oracle Cash Management

Description: Program – Cash Forecasting by GL Periods
Navigation: Oracle Cash Management Responsibility -> View -> Requests -> Submit a new request -> Select Single Request -> Click ‘OK’ -> Select Name of concurrent program / report.

Report Parameters:

  • Template Name : Template Name
  • Forecast Name : Forecast Name
  • Factor : Factor
  • Start Project Number : Start Project Number
  • End Project Number : End Project Number
  • Calendar Name : Calendar Name
  • Start Period : Start Period
  • Forecast Currency : Forecast Currency
  • Source Currency Type : Source Currency Type
  • Source Currency Dummy : Source Currency Dummy
  • Source Currency : Source Currency
  • Exchange Date : Exchange Date
  • Exchange Type : Exchange Type
  • Exchange Rate : Exchange Rate
  • Row Number From : Row Number From
  • Row Number To : Row Number To
  • Amount Threshold : Amount Threshold
  • Request By Row : Request By Row
  • View Option : View Option
  • View Option Dummy : View Option Dummy
  • Bank Account Balance Type : Bank Account Balance Type
  • Float Type : Float Type
  • Include Subsidiary’s Banks? : Include Subsidiary’s Bank

 

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