Hello there, bcschool. I can help share insight about your cash flow report concerns.
The option to generate a separate cash flow report for multiple accounts is unavailable. As a workaround, you can run a Balance Sheet to see the amount of money moving in and out of your business and checking account.
Here's how:
- From the Reports menu, select Company and Financial.
- Choose Balance Sheet.
- Click on Customize Report then customize it based on the data needed.
- Once done, print or export the report to excel.
I'm sharing these resources for additional reference and a guide about cash flow in QuickBooks Desktop:
Let me know if you have other concerns about doing tasks to your account. I'll be around to help.