Cash Management


No one thing will affect your organization more than the availability of cash. Knowing how much you have and how much you will need are key to managing your business. Our cash management systems is unparalleled.

AMB gives you the upper hand in managing cash. From the ability to easily reconcile bank accounts to the capability to generate cash requirements reports and statements of cash flow, AMB lets you know where you are and why.

Our mortgage loan software gives you the edge by:

  • Allowing you to see the up to the minute balance in your cash accounts, across companies if need be.
  • Easily Reconcile bank accounts by providing both an easy to use bank reconciliation function but also the ability to import lists of cleared checks provided by your banks (numerous bank formats are currently supported).
  • Produce “Positive Pay” reports to limit fraud.
  • Easily report on Cash Requirements based on invoice Due Dates.
  • By having a separate Cash Receipts entry function that doesn’t require the Accounts Receivable module. Reconciling cash receipts has never been easier.