Cashflow forecast in AccBooks AI
How to generate, customise and interpret the cashflow forecast — projected bank balances, scenario modelling and early warning alerts.
Blog
Guides, product updates and accounting know-how.
No articles match your search.
How to generate, customise and interpret the cashflow forecast — projected bank balances, scenario modelling and early warning alerts.
How to generate, read and understand the balance sheet — assets, liabilities, equity and how it balances with your P&L.
How to download any AccBooks report as a formatted PDF or an Excel workbook — with custom branding, cover pages and scheduling.
How to generate, read and customise the P&L report — including management accounts format, period comparisons and drill-down to transactions.
How to lock accounting periods to prevent historical changes, manage lock dates and unlock periods when corrections are needed.
What the trading account shows, how it differs from the full P&L and how to generate it as a standalone report.
How to generate and use the trial balance to verify your ledger, identify posting errors and prepare for period-end and year-end close.
How to prepare and file statutory accounts to Companies House — including the year-end close process, iXBRL tagging and micro-entity options.