This activity is used to copy project cash forecast lines and spread amounts from one cash forecast version into
a new cash forecast version.
When the New Project Cash Forecast assistant is used to create a new cash forecast there
is an option to copy from an existing cash forecast. The forecast lines with details (for example, activity,
cost/revenue element, amount and dates) as well as the period spread values will be copied over to the new cash
forecast.
A project cash forecast in any status.