
Smart Cash Flow Management and Tracking System
Discover Smart Cash Flow Management and Tracking System
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It is the software that allows businesses to be tracked on an annual, monthly, daily basis by estimating and creating their collections and expenses based on data.
Cash Flow
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Multi-company consolidated structure
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Payment and collection records can be created periodically on the basis of Company, Office, Branch.
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It works with different currencies.
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With the calendar view, it is aimed to provide fast and easy data entry.
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Daily balances and transactions are planned to be displayed on the calendar.
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It is planned to make prediction management with different scenarios.
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Colorizing and personalizing data on collections and payments.
Cash Pool
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The cash pool aims to keep track of the company's cash assets.
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Transferring bank balances to cash pool with MT940
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It is aimed to transfer the bank balances to the cash pool with web services.
Limit Allocation
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It is aimed to list and manage the loan information available within the limits assigned to the companies, as well as the payment plans for the created loans.

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Phone: 0212 481 0808