Treasury Cash Position & Forecast
Multi-bank cash positioning and rolling direct cash-flow forecast from AR, AP, payroll and scenarios
Multi-bank cash positioning and rolling direct cash-flow forecast from AR, AP, payroll and scenarios
Key Features
Treasury Bank Account Position
Treasury Bank Account Position. Tracks Position Name, Sequence, Active, Company, Bank/Cash Journal. One-click open move lines.
Treasury Cash Flow Category
Treasury Cash Flow Category. Tracks Category, Code, Sequence, Color Index, Active.
Treasury Cash Flow Forecast
Treasury Cash Flow Forecast. Tracks Reference, Title, Company, Currency, Start Date. One-click generate lines, confirm, reset to reset to draft, archive forecast, take snapshot.
Treasury Forecast Scenario
Treasury Forecast Scenario. Tracks Scenario, Sequence, Active, Company, Assumptions.
Treasury Scenario Manual Adjustment
Treasury Scenario Manual Adjustment. Tracks Scenario, Description, Expected Date, Category, Currency.
Treasury Rolling Forecast Snapshot
Treasury Rolling Forecast Snapshot. Tracks Reference, Forecast, Company, Currency, Snapshot Date. One-click compute actuals.
Treasury Recurring Cash Flow
Treasury Recurring Cash Flow. Tracks Description, Active, Company, Currency, Category.
Use Cases
Screenshots
Cash Categories
Scenarios
Forecast Snapshots
Recurring Cash Flows
Specifications
- Compatible: Odoo 18.0 / 19.0
- License: OPL-1
- Languages: 35+
- Author: Pokutsoft
- Dependencies: account, mail
- Support: support@pokutsoft.com
- Update date: 2026-07-18