Oracle Financials Cloud: Modern Finance 1 | Page 15

Control Control | 2 Cash Management Controlling cash balances and accurately forecasting cash positions is made simple with Cash Management. The cash management dashboard pinpoints issues related to bank account balances, missing bank statements, unreconciled statement lines and transactions, and cash forecasts. You can anticipate short-term cash requirements and reduce liquidity risk by viewing the 5-day cash forecast across all your legal entities. You can also transfer balances between banks to take immediate action to address any shortfall. Asset Management Oracle Assets simplifies fixed asset accounting with automated asset management. Standard management tasks, such as asset additions, asset transfers, disposals, reclassifications, financial adjustments, impairments, revaluations, retirements, and legacy data conversions can be streamlined with automated business flows. You can also take physical counts of your asset inventory and load them in a spreadsheet; the system then reconciles the results of this file against the actual data and recommends the necessary actions to ensure the accuracy and control of your fixed assets. “ Bringing in advanced technology, such as Oracle Financials Cloud, will not only make us more profitable, it will accelerate the business cycle. We can create asset portfolios faster, and we have the data that carriers require at our fingertips. We are a much stronger organization with Oracle Financials Cloud. — MICHAEL MCLAUGHLIN CFO, Tower Ventures LLC ”