I have just started using VBA and i want to know if i can make monthly cash flow statements using VBA. I usually collect the actuals for the previous month from another report to insert it in cash flow report.
I'm sure you can—a program can be written to do almost anything if you know how you would do it yourself—but if you need help with it, you'll need to include a lot more information. Mostly that information will be a) what your data look like, and b) what you want the report to look like.