Introducing Cash Flow Forecasting in Dynamics NAV 2013
Webinar Recording: Financial insight at your fingertips with Dynamics NAV 2013
Determining your business cash flow is quick and easy with Microsoft Dynamics NAV 2013. The latest version (Dynamics NAV 2013) enables you to simply calculate periodic forecasts of revenues and expenses to determine your cash position, which is critical if you are to remain successful – you need insight into your finances so you can take remedial action should you face a cash deficit within the forecasted period.
Cash Flow Forecasting functionality
- Create your own chart of cash flow forecasts and become proactive rather than reactive.
- Get cash flow forecasts from the general ledger (GL), purchasing, sales, service and fixed assets.
- Manually enter revenues and expenses into your forecast for the period.
- Analyse cash flow statistics in detail with reporting capabilities that help you to determine your cash flow position.
Checkout this pre-recorded overview of Introducing Cash Flow Forecasting in Dynamics NAV 2013
Find Out More about becoming a Dynamic Business
You can follow any responses to this entry through the RSS feed. You can skip to the end and leave a response. Pinging is currently not allowed.