This feature allows you to anticipate cash inflows and outflows, monitoring the company’s liquidity in real time. Based on the financial data, the system generates automatic projections and alerts you to possible cash deficits or surpluses. This way, you can make more informed and strategic decisions, ensuring better budgetary control and avoiding surprises in cash flow.📊
Don’t leave financial management to the last minute. Contact us and find out how to optimize your company’s cash flow with SAP Business One! 📞