Odoo Experience 2018
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Advanced Interface for Full .xlsx Files Generation
Luc De Meyer - Managing Partner & Co-founder, NoviatDone
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Integrating Beacons for IoT Solutions
Husen DaudiDone
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Stock Management of Non-Stockable Products
Enric Tobella AlmarDone
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The New ISO 17025 & Odoo LIMS
Vincent LaurentDone
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Billing Implementation in Telecommunication Provider
Alaney Kilson DóriaDone
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Simplify Returns Today with RMAs
Hibou, Kaylie KipeDone
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Is Odoo GxP Compliant with the Pharmaceutical Industry Standard?
Vincent LaurentDone
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Dealing with Concurrent Approvals on Multiple Objects Requiring Approval
Gael RabierDone
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A New Take on POS: HopHopHop !
Gael RabierDone
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Automate Your Process for Fleet Management in CEVT & Geely
Stella FredoDone
Itlian. Graduated in 2007 in Philosophy and Economics, 8 years experience in Business Administration with an CFO executive course, 3 years of experience in Odoo a Business Analyst and developer. LinkedIn Profile: https://www.linkedin.com/in/giacomo-grasso/
Cash flow forecast and analysis is crucial for any kind of business.
This module allows users to: compute single or multiple bank balances at one time, plan the cash flow with forecasted cash moves, adding draft invoices and any other document or account move to the cash planning. Table and graph views are available (see screenshot at https://www.odoo.com/apps/modules/11.0/treasury_forecast/ to be updated).
Users will also have a forecasting window for a defined period of time. Once created all the cash flow data are easily available and users will be able to modify this data to better organize his cash flow in their timeline.