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Is it not possible to configure cash flow statement just like other standard P&L and BS reports? I cannot find it in any menu item.

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Yes, it is possible to configure and customize the cash flow statement based on the specific needs and requirements of a business. The cash flow statement is a financial statement that provides information about the cash inflows and outflows of a company during a specific period. It typically consists of three main sections: operating activities, investing activities, and financing activities.

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And how is it possible?

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How do I trace back the amounts reflected in the Cash Flow lines? They must be some calculation behind it, because I can see they are not the exact amounts summed up from the journal items. Any thoughts on the logic?

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I would be very delighted if Odoo created a specific user instruction on cash flow statement

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Correct.  It is hard coded.

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Is there a way to add a new group for "Taxes" by adding a new Tag?

We recommend the Documents App for those wanting to modify the Cash Flow report - via the creation of a custom Odoo Spreadsheet

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Hi, Jumshud Sultanov to setup the cashflow statement you only need to add tags in the chart of accounts, to do that you will need to open each account and add the corresponding tag, for example, the account "Clients" must be tagged as an "Operations income".

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How can I find out what tags I should put on the accounts. For example, do I put tags on Bank Asset accounts?

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