“We implemented Receivables Manager in all the countries where we operate, safe in the knowledge that it would provide a daily reconciliation of the ACR subsystem with CEA.
The comprehensive drill-through screens give our users a wealth of information. Combined with aged-debt reporting on invoice date and due date, this is a 'must-have' tool in the Finance locker!”
Director of Business Processes – Electrical Components International
RECEIVABLES MANAGER
Can you easily identify differences between ACR and CEA?
Do your enquiry screens give you the full picture?
Are your aged-debtor reports satisfactory?
Can you generate period-end reports and still backdate cash?
RECEIVABLES MANAGER for BPCS/Infor Lx®
This product allows the finance user to reconcile the Accounts Receivable system (ACR) with the Debtor Control accounts in CEA
The reconciliation can be run as often as required (usually daily) and identifies any differences between ACR and CEA at document level. Full drill-down to transactions allows the user to investigate any differences.
In addition to the core reconciliation capability, Receivables Manager also has the following functionality:
Enquiry
The user has full ACR enquiry with the ability to
Reporting
The user has full ACR reporting with the ability to
History Enquiry
The user can generate a report of the documents comprising the CEA balance for any given period end (to cater for cash backdated at period end)
With the Receivables Manager reconciling, reporting and analysis capability, the user is in full control of all things ACR related!