Cash and Liquidity Management
When it comes to Cash and Liquidity management, having real-time data and an efficient, coordinated workflow allows companies to make precise forecasting and reconciliation, cash positioning and generating records for banks. The ripple effect of Cash and Liquidity Management goes beyond cashflow itself; on the line are company reputation, partner trusts, and overall moral of stakeholders. The best way to make decisions confidently is by having an accurate, all-in-one system that you can trust and rely on.
A well-orchestrated budget plan can bring significant positive changes to a business. For that to be realized, accurate forecasting, thorough visibility and on-time executions must be coordinated perfectly. FireStart’s Intelligent process management automation can help you accomplish this and more – empowering your company with the agility to perform.
Manage and automate all invoice-related processes so you’d never miss a payment or deadline again. With FireStart’s BPM platform, invoices can be generated automatically when specific actions are triggered (like receiving a request form) – prompting assigned stakeholders for action (like approvals). To ensure no overlaps, every invoice will be viewable on the system.