Oracle NetSuite Cash Management
Complete, Real-Time Visibility into Your Companyβs Cash
Overview
Oracle NetSuite's Cash Management solution provides tools to manage liquidity, control bank accounts, and automate reconciliation processes, all within the unified NetSuite ERP system. It is designed to give businesses real-time visibility into their cash position and simplify cash flow management by connecting it directly to accounts receivable, accounts payable, and other core financial modules.
β¨ Key Features
- Cash Flow Forecasting & Budgeting
- Bank Reconciliation Automation
- Real-Time Cash Position Visibility
- Bank Account Management
- Electronic Payments & Transfers
π― Key Differentiators
- Unified data model with core ERP, CRM, and ecommerce
- Real-time visibility into cash impacts from business operations
- Strong focus on mid-market businesses
Unique Value: Provides a single source of truth for cash management by embedding it within the core ERP, ensuring cash forecasts are always based on real-time business data.
π― Use Cases (3)
β Best For
- Integrated cash management for NetSuite users
- Automated bank reconciliation
- Working capital management
π‘ Check With Vendor
Verify these considerations match your specific requirements:
- Companies not using NetSuite ERP
- Large enterprises requiring advanced treasury features like hedge accounting or complex debt management
π Alternatives
Offers seamless integration for existing NetSuite customers, avoiding the data syncing challenges and costs associated with bolting on a separate, standalone TMS.
π» Platforms
π Integrations
π Support Options
- β Email Support
- β Live Chat
- β Phone Support
- β Dedicated Support (Premium tier)
π Compliance & Security
π° Pricing
π Similar Tools in Cash Flow Management
Float
A real-time cash flow forecasting and management software for small to medium-sized businesses....
Cash Flow Frog
A tool for small businesses to create accurate, up-to-date cash flow statements and forecasts....
QuickBooks Online
An all-in-one accounting solution that includes cash flow management and forecasting features....
Xero
Online accounting software for your small business to manage invoicing, bank reconciliation, bookkee...
Pulse
A straightforward, visual tool for monitoring and projecting your cash flow on a weekly or monthly b...
Dryrun
A visual and flexible cash flow forecasting tool for businesses and their advisors to model complex ...