New feature: Improvements to Cashflow currency translations

Hello all, great news!


We’ve improved how our Cashflow report handles multiple currencies, as per popular demand.


FX adjustments are now added when needed to ensure the 'Cash at Start of period' matches the 'Cash at End of period' and the figures on the Cashflow match those on the Balance Sheet.



As ever, if you have any questions or feedback please let us know.


Cheers,

Harry :)

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