Is FASPAC-SQL right for your business?

FASPAC-SQL is a great fit for many businesses. Find out if it's the right choice for you! Are you looking for a FASPAC-SQL demo, technical support, product or pricing information or to simply to compare FASPAC-SQL with competitive options? Quickly get answers and the information you need.

With the FASPAC-SQL Cash Management module, you can quickly and accurately reconcile all your bank accounts. This module also collects information to provide a basis for accurate cash forecasting. Cash Management creates detailed logs of all cash transactions that flow through your bank accounts, providing accurate audit trails for security purposes.

Cash Management enables you to quickly and easily handle and track a wide range of bank transactions — including deposits, withdrawals, adjustments, interest earnings and charges, bank fees, and transfers between bank accounts — with pinpoint accuracy. In addition, the module’s extensive drill-down capabilities give you fast, convenient access to transaction details and source information.

  • Unlimited Banks and Bank Accounts
  • Multicurrency Capabilities
  • Wide Variety of Bank Account Transactions
  • Easy Bank Account Reconciliation
  • Multiple Tender Types
  • View Super and Sub-Categories Easily
  • Cash Flow Projections

Other Applications

The following applications are designed to work hand-in-hand with Cash Management:

"Cash Management" is part of the FASPAC-SQL line of products, developed by Faspac Systems.