Use this section to view, manage and analyze your balance sheet and cash flow.
Create a balance sheet to report company assets, liabilities, and shareholder equity. This section of the application provides a snapshot of your company's finances (credits and debits) to help enable your financial planning.
Balance sheet and cash flow functionality are part of the Integrated Financial Planning release Version 1.2. For access to this information in your application, talk to your Anaplan Customer Success Business Partner.