With the release of NoetixViews 6.2, we introduced an all-new set of views for Oracle Cash Management. We worked hand-in-hand with customers on the development of these views, with the result being a solution proven to meet real world reporting needs. These views cover your cash flow, cash transfers, bank statements, and bank statement reconciliation reporting needs.
The new views complement our other views for Oracle Order Management and Oracle Receivables in reporting for the order-to-cash cycle. Your reports about items sold and shipped, customer invoices, and payments received can now include a reconciliation report for bank deposits.
With our views for Oracle Purchasing and Oracle Payables, the new Cash Management views add to your reporting for the procure-to-pay cycle. Your reports about demand, purchases, receiving, supplier invoices, and payments can now include a reconciliation report for bank withdrawals.
The new views for Cash Management join our full suite of views for Oracle Financials to deliver the most complete reporting solution available.