Hello All
I'm building a Cash Flow statement
and ran up against a problem.
Will you take a look at this at let me know what you think?
I get a "Circular row calculation reference detected between row 1450 and row 1450. Report will show zeroes for these rows"
And here is what our row format looks like. It looks exactly
like what’s in the Management Reporter Book.
1330 | DES | ||||||||
1360 | NET INCREASE (Decrease) In Cash | TOT | 730+880+1270 | ||||||
1390 | DES | ||||||||
1420 | NP - Cash at Beginning of Period | Account Modifier=[/BB] | +Account = [10001:10103] | ||||||
1450 | Cash at Beginning of Period | CAL | B=B,1420,E=C,1420 | ||||||
1480 | --- | ||||||||
1510 | DES | ||||||||
1540 | Cash and Equivalents at End of Period | TOT | 1360+1450 |