Maintain control over your company’s cash by implementing the proper tools to analyze and keep track of cash flow within Business Central. Effective cash flow forecasting and analysis enables companies to effectively finance their cash flows, optimize operational activities to promote increased cash flow, and proactively identify idle cash to invest it wisely. Without visibility, […]
Eliminate manual entry and replace a proliferation of off-line spreadsheets and documentation when you connect a bank account in Business Central. Does your organization rely on manual processes for payments, cash receipts, and bank account reconciliation? Manual processing apart from the accounts receivable and accounts payable systems is not only inefficient and error prone, but […]