04 CASH FLOW
Fortune Cash Flow is a state of the art integrated solution offering following functionality:
- Ability to overview the financial performance divided by fleets.
- Projection Cash Flow: analyzes receivables and payables of a given period.
- Actual Cash Flow: analyzes actual payments made during a given period.
- Create a Cash Flow schedule based on each company needs.
- Create your own chart of cash flow forecasts and become proactive rather than reactive.
- Get cash flow forecasts from the general ledger, purchasing, sales.
- Manually enter revenues and expenses into your forecast for the period.
- Analyze cash flow statistics in detail with reporting capabilities that help you to determine your cash flow position.
- Customizable screens according to user responsibilities and preferences.
- Notifications mechanism, alerting a single or a group of users ensuing from predefined conditions.
- Extensive reporting capabilities. Dynamic representation of charts according to user’s preferences, as well as generation of statistical information, graphs, calculations etc. on all data inserted.
- Performance Management (KPIs) for process within the system.
- Central Roles & Permissions Management.
- Embedded Internal Chat system (Enhanced Notes) to facilitate communication among office users.