Remove Accounts Payable Remove Cash Flow Forecasting Remove Forecasting Remove IFRS
article thumbnail

Cash-Flow Forecasting remains KING

Simply Treasury

“If you have to forecast, forecast often” (Edgar R. Need for reliable forecasts. Nobody could deny the importance of having accurate and reliable Cash-Flow Forecasts (CFF). Often, we heard “ cash is king”. However, knowing if you will get cash and how much is even more important.

article thumbnail

ERP and EPM Systems – Better Together

Planful

Accounts payable. Accounts receivable and collections management. Treasury and cash management. General ledger accounting. Orchestrating and managing a rolling forecast process. Let’s take a look at how an EPM suite handles some of these processes – starting with budgeting, planning, and forecasting.