Cash Flow | Kick Docs

[See what's new in the

Kick Changelog](/content/changelog/index.html)

For the complete documentation index, see llms.txt. This page is also available as Markdown.

The Cash Flow report shows the movement of cash through your business over a period - broken down by operating, investing, and financing activity. It answers a question the P&L doesn't: where did the money actually go?

A business can be profitable on the P&L but still run short on cash. The Cash Flow report helps you understand why. For a day-to-day cash picture, see Insights.

Go to AccountingCash Flow.


What you're looking at

The bottom line is the net change in cash - how much your cash position increased or decreased over the period.


Change the date range

Use the date picker to select any period. If you have multiple entities, use the entity dropdown to view a single business or a combined view.


When to use it

Last updated 18 days ago