Cash Flow Management (available only in Peachtree Pro Accounting and higher)
Peachtree 2009 introduces a new Cash Flow Manager that will help you forecast the cash going in and coming out of your business.
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Know & Anticipate Cash Needs | |
| The Cash Flow Manager gives you insight into the cash you currently have or may need in the future. It allows you to easily see your business’ cash position. | ||
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Run “What If” Scenarios | |
| Peachtree allows you to run “what if” scenarios in the Cash Flow Manager. Any changes that you make will not affect actual Peachtree data. You can enter potential new transactions, change transaction amounts, and see how they will affect your cash position. | ||
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Export to Excel | |
| Now you can export your cash flow projections to Excel with ease. You can save your projections to compare them with your actual performance. | ||
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Customize Cash Flow Projections | |
| You can create cash flow projections based on open or historical transactions. Additionally, you can control what transaction types are included in the projection. | ||