How can I consolidate Cashflow Plan projections for several subsidiary companies?
Releases 1.3 (and higher) of Cashflow Plan Super and Ultra contain comprehensive tools for consolidating projections (i.e. cashflow and income statements plus forecast balance sheets) for subsidiary businesses using a special Report for Consolidation. This report is linked to an additional workbook (Cashflow Plan Consolidator) which facilitates the consolidation process and includes tools for changing currencies/ denominations and eliminating inter-company transactions. A Cashflow Plan Consolidator Guide is included in the download files for Cashflow Plan Super and Ultra.