Streamline Liquidity Forecasting by Integrating Real Estate Cash Flows with Enhancement Package 2

Streamline Liquidity Forecasting by Integrating Real Estate Cash Flows with Enhancement Package 2

Reading time: 8 mins

Learn how to integrate liquidity forecasting with real estate cash flow. Key Concept With enhancement package 2, SAP has streamlined the liquidity forecasting tool by incorporating cash flows generating from real estate contract conditions. This brings more visibility and accuracy to liquidity forecast under Cash Management enabling businesses to make accurate investment decisions. SAP Cash...

This content is for SAPinsider Monthly Subscription, SAPinsider Annual Subscription, and SAPinsider Premium Annual Subscription members only.
Log In Join Now

More Resources