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Home > ERP & CRM Solutions > Microsoft Dynamics GP > Microsoft Dynamics GP Financial Management > Cash Flow
Cash Flow Management
Cash Flow Management enables you to view the summary or detail of a given day's cash inflow and outflow from a friendly, calendar-based interface. You determine the level of detail you want to expose. Simply click on anyday and any entry in it to see daily totals, payments and receipts. You don't need to spend time exporting data into a spreadsheet-the information is immediately available and actionable.
Access business-critical financial information quickly
Optimize financial decision-making with forecasts based on what-if scenarios that can incorporate information
Predict and understand anticipated cash flow to identify any shortfalls and surpluses and make smarter investment decisions
Gain financial control across your business with seamless integration
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