Each forecast created is divided into four tabs:
- Workings
- Cashflow
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Selecting the cashflow tab will display a breakdown of all payments and receipts within the dates selected to view. Forecast items can be displayed expanded or contracted on a line-by-line basis. You may also export the data contained within the cashflow tab to PDF. This will export any assumptions which have been entered first and then all payments and receipts data for the date range selected: