Hi All,
With all the innovation and products on the market to support small and medium companies, how to manage cash flow and keep the money rolling in?
I would like my accounting team to move away from the Excel and use something smarter and faster, where all the stakeholders have a visibility and there is only one single version of the truth.
Have you recently worked on a project with a similar focus and output? If so- I would highly appreciate to be connected with those of you.