The Cash Management module allows you to analyze incoming and outgoing cash flow.
The module enables you to:
Set up and organize cash flow categories and groups.
Perform detailed cash flow analysis.
Reconcile bank statements with all recorded transactions.
The menus for the Cash Management module include the following submenus and programs:
Cash flow analysis is based on cash flow dates. These dates can be manually adjusted in Cash Flow Detail Inquiry or Customer Open Accounts Receivable Management. Cash flow dates are assigned automatically by the software. For example, the cash flow date for a container, shipment, or purchase order line item is set as the delivery date plus the payment terms days and the additional days.
For information on set up required before performing cash flow analysis, see Setting Up Cash Flow Analysis.