Cash Flow Management
Forecasting and Planning Tool
M3 Cash Flow Management is a sophisticated forecasting and planning tool for your most important asset: Cash. It enables you to manage and control your global cash position, and offers the integration and information necessary for planning and constantly monitoring your short- and long-term cash sources and requirements.
With M3 Cash Flow Management, you are able to optimize cash, minimize exposure and better manage your day-to-day cash activities. The strong integration of M3 Cash Flow Management with other Lawson components generates an accurate and comprehensive view of your current cash situation.
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