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The cashflow forecast when bringing through purchase order lines uses the header due date so multiple lines all have the same cashflow forecast date. In reality the order lines may be expected to be received at different times for example a purchase order where each line represents a monthly commitment on an annual contract.
Customers would like to see the cashflow using the expected receipt date from the lines as this accurately reflects expectations.
Customers would like to see the cashflow using the expected receipt date from the lines as this accurately reflects expectations.
STATUS DETAILS
Needs Votes
Business Central Team (administrator)
Thank you for this suggestion! Currently this is not on our roadmap. We are tracking this idea and if it gathers more votes and comments we will consider it in the future. Best regards, Business Central Team