Reference: Cash Position Reports
This table lists reports that provide visibility into your daily cash position based
on bank account balances and external cash flows. Workday groups the daily cash
activities into logical categories based on your bank statement worktag definitions.
You can use the reports to assess your inflows and outflows for funding or investing
activities.
Report | Description |
|---|---|
Intraday Cash Position in Bank Account
Currency
| Displays the current day cash receipts and payments in bank account
currency using intraday bank statements and external cash activities. The report
enables you to identify a shortage or surplus of funds based on the target
balance and closing balance of the bank account. You can run the report by bank
account or currency, and filter the bank accounts by cash pool. You select
the opening and closing balances to display by their bank statement type
code. |
Intraday Cash Position in Reporting
Currency
| Displays the current day cash receipts and payments in reporting currency
using intraday bank statements and external cash activities. The report enables
you to identify a shortage or surplus of funds based on the target balance and
closing balance of the bank account. You can run the report by bank account,
company, or financial institution. You can also filter the bank accounts by
cash pool. |
Prior Day Cash Position in Bank Account
Currency
| Displays the prior day cash receipts and payments in bank account currency
using prior day bank statements. You can run the report by bank account, and
filter the bank accounts by cash pool. You select the opening and closing
balances to display by their bank statement type code. |
Prior Day Cash Position in Bank Account Currency (Using
Beginning Balance)
| Displays the prior day cash receipts and payments in bank account currency
using prior day bank statements. You can run the report by bank account, and
filter the bank accounts by cash pool. The cash position is based on bank
statement ending balances. |
Prior Day Cash Position in Reporting
Currency
| Displays the prior day cash receipts and payments in reporting currency
using prior day bank statements. You can run the report by bank account,
company, or financial institution. You can also filter the bank accounts by cash
pool. |
Prior Day Cash Position in Reporting Currency (Using Beginning
Balance)
| Displays the prior day cash receipts and payments in reporting currency
using prior day bank statements. You can run the report by bank account,
company, or financial institution. You can also filter the bank accounts by cash
pool. The cash position is based on bank statement ending
balances. |