
SAP Cash Management
SAP Cash Management is a financial tool that helps companies track, analyze, and optimize their cash flow in real-time. It consolidates all banking and financial data to provide a clear view of available funds, incoming payments, and outgoing expenses. This enables better decision-making, ensures liquidity is maintained, and reduces the risk of shortages or excess cash. By streamlining cash processes, SAP Cash Management enhances financial efficiency, supports strategic planning, and helps organizations manage their funds more effectively in a complex financial environment.