Cash Forecast Outstanding Checks Tab
Creation Date: January 31, 2024
Created By: Finance Silvertrek
1. Go into Vista and verify you are in the correct company.
2. Go into the Cash Management Module>Programs> CM Clear Entries
3. Press F4 to select or type in the CM Account you need to export
4. Select Refresh to use current month for cash forecast
5. Right click in the grid to open the drop down
6. Select Export Grid
7. Select the dropdown tab under Action: Export to Microsoft Excel
8. Select the ".." icon to save the file
9. In dropbox go into the Customer Folder>Management>YYYY>MM>Week
Sometimes your Cash Forecast is saved in a different folder
10. Save the file as M.DD Outstanding Checks
11. Select Save
12. Once you have your folder named and saved in the relevant location, press OK
13. Go into the Outstanding Checks file you saved and open up the file so we can add it to your Cash Forecast
14. Having your Cash Forecast Open, take the tab in your Outstanding Checks file and drag it into your Cash Forecast
15. Remove the previous Outstanding Checks tab in your Cash Forecast
16. Right click on the new tab and select "Rename", rename the tab to Outstanding Checks and press enter
17. Go Below and enter: CHK
18. Click into the column with your totals
19. Highlight all Amounts that are labeled CHK
20. Press AutoSum to calculate the totals
21. Underneath CHK and enter DEP
22. Highlight all Amounts that are labeled DEP
23. Press AutoSum to calculate their totals
24. Save your work in your Cash Forecast
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