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The extent of Reporting on KashFlow

Some of the reports are not detailed enough. I can mention one such report.

The Nominal Ledger report; this report should be more detailed, it should also contain a break down of the individual account by product code.


Account = 7000-Programme Services

Product=5000-Salaries=(Account Balances)

8540-Supplies=(Account Balances)

8200-Donations & Assistance=(Account Balances)

This will give a better listing of the accounts contained in the nominal ledger, this will make Management Reporting a lot more informative.

I do hope you find this suggestion insightful.

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  • Mar 22 2021
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