Welcome to the Smartsheet Forum Archives


The posts in this forum are no longer monitored for accuracy and their content may no longer be current. If there's a discussion here that interests you and you'd like to find (or create) a more current version, please Visit the Current Forums.

Creating a Cash Flow Model

Options
SuperGroup
edited 12/09/19 in Archived 2017 Posts

Dear Developer

I would like to know if any one be able to help me out (on a chargeable basis) to create a cashflow report that requires the consolidated view from 15 different companies. 

The idea is that each company has its expenses, incomes, has starting bank balances, different bank accounts, suppliers, customers etc. I would like to know the net cash flow on a daily basis so that we can plan further capital spending. 

There are recurring payments and recurring incomes that need to be entered and a consolidated view generated. 

We will discuss in detail if anyone wishes to take up the assignment. 

Please let me know or get in touch via whats app : +96895242515 or hangouts on mail@super.om

Neeraj Kalwani

Comments

This discussion has been closed.