Until now, you could only select one P&L plan to apply your payment rules. Now you can link your new cash budget to a previous P&L budget.
➡️ Result: the new cash flow budget will take into account the projections already established on the previous P&L budget, for optimum continuity of forecasts!

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Archivé
Feature Request
Trésorerie
5 months ago

Thuy-An Moncharmont
Get notified by email when there are changes.
Archivé
Feature Request
Trésorerie
5 months ago

Thuy-An Moncharmont
Get notified by email when there are changes.