78 Cash Flow – Monthly
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    Cash Flow – Monthly

    The Cash Flow – Monthly in Solver is a pre-built xFP&A report template available in the Solver Template Marketplace. Key functionality report is parameter driven so the figures are presented automatically when the user runs the report. This layout is showing an indirect cash flow report layout.

    What is a Monthly Cash Flow Statement with Current and Prior Month Figures? Monthly Cash Flow reports are considered essential month-end financial statements and are often used by CFOs and Analysts to review the cash inflows and outflows of the business. Key functionality in this type of report is parameter driven so the figures are presented automatically when the user runs the report. This layout is showing an indirect cash flow report layout. You will find an example of this type of report below.

    Purpose of Monthly Cash Flow Statements Companies and organizations use Monthly Cash Flow Statements to closely monitor the cash inflows and cash outflows that drive the overall cash position of the business. When used as part of good business practices in a Finance and Accounting Department, a company can improve its liquidity analysis, as well as, reduce the chances that the company runs into an unexpected cash crunch.

    Who Uses This Type of Report? The typical users of this type of report are: CFOs, Controllers and Accountants. Other Reports Often Used in Conjunction with Monthly Cash Flow Statements Progressive Finance and Accounting Departments sometimes use several different Monthly Cash Flow Statements, along with monthly profit & loss, balance sheet reports and other management and control tools.

    Where Does the Data for Analysis Originate From? The Actual (historical transactions) data typically comes from enterprise resource planning (ERP) systems like: Microsoft Dynamics 365 (D365) Finance, Microsoft Dynamics 365 Business Central (D365 BC), Microsoft Dynamics AX, Microsoft Dynamics NAV, Microsoft Dynamics GP, Microsoft Dynamics SL, Sage Intacct, Sage 100, Sage 300, Sage 500, Sage X3, SAP Business One, SAP ByDesign, Acumatica, Netsuite and others. In analyses where budgets or forecasts are used, the planning data most often originates from in-house Excel spreadsheet models or from professional xFP&A solutions.

    This Solver report template connects directly to your ERP data via the Solver Data Warehouse, enabling near real-time analysis with minimal setup. Designed for QuickStart deployment, it can be activated rapidly so your team can focus on analysis and decisions — not data preparation.

    What is the Cash Flow – Monthly in Solver? The Cash Flow – Monthly is a pre-built xFP&A report template in Solver that delivers key financial and operational metrics in a single, easy-to-use interface, eliminating the need for manual data work or custom report development.

    Who uses this Solver report template? CFOs, FP&A managers, and controllers use this report template to support month-end close, variance analysis, and management reporting. It is designed to be self-service and require no custom development.

    Where does the data come from? Data is sourced automatically from your ERP system through the Solver Data Warehouse, which integrates with platforms such as Microsoft Dynamics 365 Business Central, Dynamics 365 Finance, Acumatica, Sage Intacct, and other leading ERP solutions. Once connected, the template updates in near real-time with no manual data entry required.

    To learn more, visit the Resource Library. 

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