If your statement of cash flow is out of balance, and your entity is a Superfund, utilising different accounts, you may need to update the Statement of Cash Flows report.
Update the Statement of Cash Flows report for a Superfund
Log in to HandiLedger and Select your Superfund entity.
Go to Reports, Preferred Reports.
Under Report Setups, highlight the report setup you use, then click Copy.
From the Selected entity tab, go to the Reports section, locate and highlight Statement of Cash Flows, then click Edit.
Click Select Report.
Locate and Select SupCashFLow2, then click Ok, Close.
Go to Financials, Statement of Cash Flows, then Ok to review the changes.
