Microsoft Dynamics GP Cash Flow Management

 

As a financial manager, your decisions need to be based on information that's
up-to-date, complete, and accurate. Cash Flow Management enables you to view daily, weekly, and monthly inflows and outflows from a friendly, calendar-based interface.

  • Microsoft Dynamics GP Cash Flow Management - Access business-critical information quickly, with clear, customisable views and extensive drill-down capabilities
  • Microsoft Dynamics GP Cash Flow Management - Optimise financial decision making
    with forecasts based on what-if scenarios that can incorporate information from other Microsoft Dynamics GP applications, posted and unposted transactions, and different opening balances
  • Microsoft Dynamics GP Cash Flow Management - Predict and understand anticipated cash flow to identify any shortfalls and surpluses, make smarter investment decisions, and improve your day-to-day financial planning