Upcoming Webinar: Cash Management for Sage 100

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Do you need a way to create cash flow analysis, modeling and reporting in Sage 100?

Join DSD Business Systems on Tuesday, March 29th as we provide an introduction to our latest Sage 100 Enhancement, Cash Management. This solution provides Cash Management & Forecasting, while integrating with Sage 100 Accounts Receivable, Accounts Payable, Inventory Management, Sales Order Processing, Purchase Order Processing and Payroll Processing.

Jon Reiter, Chief Software Engineer at DSD Business Systems, will show you how to create expense and revenue projections by using historic seasonal fluctuations in product lines, products sold and recurring expenses, such as utilities. This solution even allows cash flow analysis data to be sent to Microsoft Excel, where the user can easily perform “what-if” analysis on the data.

Additional built-in features for Cash Management for Sage 100 include:

  • Bank Reconciliation History Inquiry
  • A/R Cash Receipts History Inquiry
  • Point in Time Bank Reconciliation Report

Join us on Tuesday, March 29th, as we introduce you to our latest Sage 100 Enhancement, Cash Management. Click Here to register for this upcoming webinar.

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Written by DSD Business Systems

Categories:
Accounting DSD Business Systems Sage 100 ERP Sage Software
Tags:
Cash ManagementCustom EnhancementsDSD Business Systemsinventory management

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Should you have any immediate questions or needs, please feel free to reach out to your event host: ktucker@dsdinc.com