Trésor monitors your Cash Flow
Introduce your Financial Cockpit
* Fast, effective and easy to use *

A healthy Cash Flow is of vital importance to an organisation. In order to daily monitor your Cash Flow health and ensure fast collection of due invoices, Brains and Business Reason-IT developed the software Trésor. Trésor allows you to periodically measure, improve and predict your Cash Flow and due invoices. Trésor works fast, effective and is easy to use. In no time you will have the knowledge to operate pro-active on the market.
At set times you are inspecting customer payment behavior as well as the financial impact on your Cash Flow due to late, overdue customer payments, partially paid- or unpaid invoices. Trésor provides you clear charts and tables presenting correct figures through your personal Financial Cockpit.
Thanks to Data Mining you are able to make your own financial predictions! In other words, you know today how healthy your Cash Flow will be in the future (next month, next quarter or next year).
Trésor is a time effective tool enabling you to perform a detailed financial audit of your Organization. The results give you as a business manager the opportunity to adjust policies in time and to be proactive on the market. Your company will benefit from Trésor's reviews and predictive modules to always be at its most productive.
Are you interested in our software product Trésor, let us know through info@brains-and-business.com.
|