This activity is used to order cash flows from the order date defined in the snapshot. When ordering the snapshot all the future cash flows from the selected sources and companies will be fetched and transalated according to the currency rate types defined in the Scenarios. When ordering a snapshot or including a scenario on an already ordered snapshot it is possible to copy selected adjustments from a previous snapshot.
In order to perform this activity:
As a result of this activity, snapshot will be in the ordered state and all future cash flows from the connected sources will be fetched in the Cash Plan Detail.