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

Cash-Flow Forecasting remains KING

Simply Treasury

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. Treasury management is “anticipation”. Forecasting for better management.

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. Here are some of the key processes supported by an ERP system: Purchasing. Order processing and billing.