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Updating the Cashflow Worksheet
You can update the cashflow worksheet
by using either of the following methods:
- Calculate
worksheet: This option is used to populate the worksheet for the
first time, or recalculate and overwrite all data on the worksheet when
used thereafter. For more information, see "Recalculating
the Cashflow Worksheet".
- Update
totals: This option updates the cashflow totals with the latest
information from the Budget/Cost Management and Contract Management modules,
but it preserves the existing invoice and retainage forecast information.
For more information, see "Updating
Totals on the Cashflow Worksheet".