Páginas filhas
  • Operations - (FINA701 - SIGAFIN)

This area shows the following options:

  • Transference between current accounts
  • Resource investment or redemption.
  • Loan acquisition.
  • Change in payment date. 

 
Data are detailed in levels:

1st level

2nd level

3rd level

Bank balances and company cashes.

Details per checking account.

Details per checking account.

Overdue accounts receivable
(including from the previous day)

No details

No details

Accounts receivable due on the date.

Consolidated by nature.

Demonstration of values due on the day, within nature level 2.

Overdue accounts payable
(including from the previous day)

No details

No details

Accounts payable with due date

Consolidated by nature.

Demonstration of values due on the day, within nature level 2.

Current position of investments.

Redemption forecast for the day, by investment type.

Status of redemption forecast for the day, detailed by investment, according to the investment type chosen in level 2.

Current loan status.

Redemption forecast for the day, by investment type.

No details for level 3 (same as level 2)

Cash need
[bills receivable + balance of checking accounts and cash – payments to be done (bills and loans)]

 No details

 
No details (same as level 1)



Procedures

To perform operations in Manager Panel:

  1. In Financial Manager, view option Operations.
  2. Select an option to enable it.
  3. A screen displays updated information on each option.