I need to create a report with the 12 rolling months and on this report I need to have two calculations for my cash account, one will be the balance at the beginning of the month and the other the balance at the end of the month, how do I create this calculation. I am using Microsoft Dynamics GP 2010 so I want my report to look like this.
Beginning Balance July August September October ——
Cash at the Beginning of the Month
Cash at the End of the Month
Any help will be appreciated.
Thanks,
Scott
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1 comment
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Jet Reports Historic Posts If someone doesn't share a report here, I would check with your NAV development partner.
They may have someone who can design reports with you.
If they are unable to help you, you can contact JET Reports Sales Department to get time with one of the report Analysts at JetReports.
They can be contacted at sales.us@jetreports.com
Regards,
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