DSD Launches New Sage 100 Enhancement
CASH MANAGEMENT & FORECASTING
DSD Business Systems announced today at Sage Summit 2015 the release of a new Sage 100 Enhancement, Cash Management. Cash Management and Forecasting (CMF) allows users to create sophisticated Cash Flow analysis, modeling and reporting. The product was developed after discovering that the most needed feature in Sage 100 was the ability to do cash flow analysis and forecasting.
The new enhancement provides users the tools to manage their cash position, and to make proper financial decisions based on their analysis and forecasting. With the addition of Cash Management, Sage 100 users will now have the ability to define how the performance measurements are taken. They will be able to complete payment performance reviews for all customers and vendors, while also developing more precise cash predictions based on actual payment history, rather than payment terms. Over 10 reports will be available within the Cash Management module.
“The new Cash Management and Forecasting (CMF) module will inject a substantial amount of the predictability into any company’s cash flow management,” said Doug Deane, President and CEO of DSD Business Systems. “The user may perform what-ifs in order to evaluate the impact of large investments and expenditures on future cash position. Cash Management will also bring a higher level of visibility concerning cleared check history, cash receipts history and customer payment performance.”
Click here to read more about our Sage 100 Enhancements. As a Sage Gold Developer Partner, DSD Business Systems has now created over 350 enhancements and extended solutions for Sage 100. If you would like to learn more about Cash Management, contact DSD Business Systems at 800.627.9032 or email Enhancements@dsdinc.com.
Written by DSD Business Systems