G
Guest
I am developing a cash flow statement on my Windows XP Spreadsheet program.
The statement is on a monthly basis. The opening balance for each month is
carried over from the previous month's closing balance. The problem I am
having is remembering the formula that prevents the opening balance from one
month duplicating to every month on the cash flow statement.
The statement is on a monthly basis. The opening balance for each month is
carried over from the previous month's closing balance. The problem I am
having is remembering the formula that prevents the opening balance from one
month duplicating to every month on the cash flow statement.