Ease in controlling and managing concrete finances
It has never been so practical to manage the financial process of a concrete plant.
BILLING, ACCOUNTS PAYABLE, AND CASH MANAGEMENT
COMPLETE AND SIMPLIFIED FINANCIAL MANAGEMENT
With TopconFINANCES, you can manage your concrete plant’s entire financial process with ease, directly integrated with all areas of the business, saving time and avoiding rework.
The solution is comprehensive, handling receivables, payments, and cash flow management. You can also manage accounts receivable and payable, perform both forecasted and actual cash flow management, and generate financial DREs. The billing process is centralized, making it easier to manage the concrete plant.
Fully integrated with municipalities and banks, automating the communication of documents, and streamlining receivables, payments, and cash management. As a result, closing the cash flow becomes simplified and efficient.
Accounts receivable and payable
Transactions, bank statements, and projected and actual cash flows
Manual and file-based bank reconciliation
CENTRALIZED AND EFFICIENT BILLING
In TopconFINANCES, the billing process is centralized, simplifying the management of your concrete plant.
With the results statement, your concrete plant gains valuable insights about billing, taxes, raw material costs, operational expenses, and many other key financial factors that make a significant difference in the concrete financial cycle.
Outsourced service contracts with accounts payable generation and related invoice entry
Payment requests and approval levels for settling accounts payable
Management of payment forecasts and financial performance statements
CONTACT US FOR A CUSTOMIZED SOLUTION PRESENTATION
We are ready to simplify the financial management of your concrete plant and provide more control over your business.