The Cash Flow Tool needs more detail and flexibility in generating reports. An option to add comments would help when reviewing a report because as the year progresses, it can be difficult, if not impossible, to remember what rationale went into the many cashflow values.
Reporting cashflow projections and actuals is very limited and on completely separate pages. It would be much better if one could select which months and which accounts to print to a report, as well as print the actuals side-by-side with the projections for each time period. Every account existing currently prints into the report, however one may not use all of those accounts for cashflow projections (think depreciation of buildings monthly or investment gains/losses which are not realized until actual sale). When printing a hard copy for a meeting, we can be talking about having 10 pages printed with half of the lines empty, when 5 pages would have sufficed.
Time periods for reporting should also be adjustable - currently they are monthly, but quarterly time periods would also be valuable. It would be nice to have the option to print an individual month or quarter of projections with actual side-by-side.
Lastly, for this commenting forum, you should have an Idea Category dedicated to the Planning portion of the program and each separate portion of the program. I see Transactions, Payroll, Inventory, Reports. Having a Category option in this ideas forum would help A LOT with sorting ideas, making them easier for us to find and reducing redundancy of ideas.