Hello Adrien Monteleone-2,

i've tried your advice, and found that "Cash Flow" is not what i need,
because in that report, it's included Payment for Liability. Of course, you
and some guys here noticed me about this.

So, i tried "Transaction Report", maybe it's ok. Because i still can't know
the "Difference (NET Income)" between Expense and Income for monthly report.
That why i tried some my ideas.

Example : 
* it's setting is : "Account" => Filter type (include transaction to/from
Filter Account) => Choose Which Account i want to use to get report
* I will export my report and import it into spreadsheet on "each month" and
use "SUM" formula. By this way, i know :
1 - Total Income for this Month
2 - Total Expenses for this Month
3 - I can check "Difference" value between month (example: oh, i spent too
much for pizza on april than march)
4 - With "Sum" Formula i put into bottom of "3", i will know the "NET
INCOME".

* Picture for more details :  Test-11-03-2020.png
<http://gnucash.1415818.n4.nabble.com/file/t378901/Test-11-03-2020.png>  
------------
I hope you and GnuCash's Users here will give me some advice if i wrong
somewhere !!





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