Cash Management Programs

Cash Management provides the following programs:

Archive/Purge Bank Statements

Bank Statement Import and AutoReconciliation

Bank Statement Import

AutoReconciliation

Sweep Transactions Generation

Cash Forecasting by GL Periods

Cash Forecasting by Days

Purge Cash Forecasts

Cash Position Prior Day Cash Flow and Overdue Transactions

Program Submission

You submit these programs from the Submit Request window. See: Submitting Requests.