In today’s economic environment, intuitive and intelligent cash management is paramount for building resiliency and setting the foundation for quick recovery. It’s critical that your cash flow statements easily provide
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In today’s economic environment, intuitive and intelligent cash management is paramount for building resiliency and setting the foundation for quick recovery. It’s critical that your cash flow statements easily provide you with reliable answers, not more questions, so you can pivot for anything that comes your way.
However, this level of agility requires something many organizations are missing: Refreshable reports built with real-time access to data.
In this webinar, we dive into how Jet Reports can put finance back in control and deliver financially intelligent cash flow management.
Key topics include how to:
- Start in Excel and stay in Excel. No more data dumps, no more chasing numbers, no more reformatting. Leverage the power of a direct data connection and the familiarity of Excel to build refreshable reports with ease.
- View your cash position in real time. Improve your cash visibility with live transactional drilldowns to quickly answer what your cash flow status is, what payments can be deferred, and what invoices are past due.
- Make FP&A a strategic leader. Automate everyday tasks to free up time for critical analysis to drive essential business decisions.