Fluid, controlled financial operation with precise receivables, banks, investments, credit lines and payables in multiple currencies. Client service evaluation and credit analysis. Cash flow programming to optimise liquidity with automated deposits, payments and electronic banking file generation. Differentiated and invoiced or cash flow-based VAT, as well as Tax withholding where applicable.

Click to Hide Advanced Floating Content

September 2019 - August 2020


Full Transactional Availability