If we carry out any operations to move and add funds, we should see the result of these manipulations. And not in the form of scattered data in the tables of the program, but in the form of a beautiful report. Our management software has such an option. The report is generated in the section "Reports - Money - Payments" . In the window that appears, set the date from which to what date we want to receive the report:
After clicking OK, we will see a beautiful cash flow report that can be printed out and which is very easy to carry out analytical work.