4. * Challenges
1. A tough task to figure out cash positioning.
2. To manage inflow and outflow cash
3. Using excel for reports as it is not scalable
4. Compiling cash projection is very difficult in excel.
5. As compilation of all reports is not possible so, it can't be standadized.
Website: http://www.focusedfinancialsystems.com
Email: pdeangelo@f2-s.com
5. * Problems
in Excel
1.There is a chance of functional risk.
2. As maintaining report in excel is almost manual so,
there is a chance manual errors.
3. As compared to softwares excel consumes more time.
Website: http://www.focusedfinancialsystems.com
Email: pdeangelo@f2-s.com
6. * Solution
1. Using customized tool
2. Hedge fund software
3. Fund Management Module
Website: http://www.focusedfinancialsystems.com
Email: pdeangelo@f2-s.com
7. * Benefits
1. Identification of fund shortage
2. Facility of entering Multiple entities.
3. Performance can be monitored
4. User can track inflow of cash.
Website: http://www.focusedfinancialsystems.com
Email: pdeangelo@f2-s.com