Cash Flow Management in Dynamics NAV 2013

Cash Flow Management in Dynamics NAV 2013 enables you to create a cash flow forecast pulling from your subsidiary ledgers within Dynamics NAV.

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    Cash Flow Management in Dynamics NAV 2013 enables you to create a cash flow forecast for your organization.  Instead of leveraging outside information to manually create forecasts, the Cash Flow Management tool pulls from your subsidiary ledgers in Dynamics NAV to automate the process.  It also allows you to enter manual revenue and expenses to get the most accurate forecast of your organization’s cash flow.

    Get a better understanding of how Cash Flow Management in Dynamics NAV 2013 works with this quick video:

    The Cash Flow Management functionality is available in the Microsoft Dynamics NAV 2013 Starter Pack.

    To see all of “What’s New in Microsoft Dynamics NAV 2013,” watch our recent webinar on-demand here.

    If you like what you see and would like to discuss upgrading to Microsoft Dynamics NAV 2013, contact your Socius Account Manager today!


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