Thomas Bushnell BSG <[EMAIL PROTECTED]> writes: >> Your description of "cash budgeting" sounds like you're summing all >> cash debits and credits into one number for each period. That seems >> like generating a periodic projected cash-flow report, yes? > > Yes, except that budgeting and accounting are different tasks in my > thinking. I'm content to continue budgeting with gnumeric; it's a > more static process. (I make one budget in the year, I tweak it as > necessary. I enter hundreds and hundreds and hundreds of transactions > in my accounting in the same year.)
My agreement here was over-hasty. My cash budget is, in principle, a complete list of expected cash sources (debits) and sinks (credits), organized month by month. (I don't bother budgeting expenses on more than an annual basis.) The rest is an optimization, not a change. I generate this list by cribbing numbers from the expense budget, but it's not a different kind of thing. The apparent differences were a way of describing my short-hand, not anything else. Thomas _______________________________________________ gnucash-devel mailing list [email protected] https://lists.gnucash.org/mailman/listinfo/gnucash-devel
