Key Capabilities of SAP Cash Management
From instant visibility to accurate forecasting, these features help simplify cash management and improve decision making.
Real-Time Cash Visibility
									Monitor actual cash positions across all banks and accounts as they change, not hours or days later. 
								
				Forecasting With Confidence
									Use system-generated forecasts based on open items, payment patterns, and historical data to make more informed decisions.
								
				Actionable Liquidity Insights
									Visualize surplus or shortfalls instantly and optimize fund allocation across the organization. 
								
				Built-In Integration
									Tie cash operations to AP, AR, Treasury, and In-House Cash for real-time data flow and planning accuracy. 								
				 
				 
      	
        
      	
       
      	
        
      	
       
      	
        
      	
       
      	
        
      	
       
      	
        
      	
       
      	
        
      	
       
      	
        
      	
       
      	
        
      	
       
      	
        
      	
       
      	
        
      	
       
      	
        
      	
       
      	
        
      	
       
      	
        
      	
       
      	
        
      	
      