Hi Nick
There's a report called Liquidity Forecast in the Nominal Ledger, which you can send to Excel. There's also the ability to define your own Cash Flow report in the Nominal Ledger, by going to Nominal Ledger > Settings > Report Settings, then double-clicking on Cash Flow. Defining this report is the same as defining Key Financial Ratios, the manual for which you can find at http://www.hansamanuals.com/main/mailnumber___5829/theconf___535/manuals/version___85/english/hwconvindex.htm?shortcode=HW0203REPORTS_Key_Financial_Ratios_Definition
Regards
Paul