Binary Stream Multi-Entity Management for Dynamics 365 Business Central
Benefits
- Centralized Financial Management:
Manage multiple companies and business units from a single Business Central environment, reducing the complexity of maintaining separate financial systems. - Faster Consolidation:
Streamline financial consolidation and reporting across entities, reducing manual processes and month-end bottlenecks. - Improved Intercompany Control:
Automate intercompany transactions and matching processes while identifying discrepancies before financial close. - Better Data Quality:
Use shared master records to reduce duplicate data, inconsistencies, and errors across multiple entities. - Enhanced Financial Visibility:
Gain a consolidated view of financial performance across all business units and access real-time information for better decision-making. - Reduced Cost of Ownership:
Centralizing multiple entities on one platform can reduce the need for separate systems, processes, and administrative overhead. - Scalable Multi-Company Operations:
Support organizations as they expand by providing a structured approach to managing additional legal entities and business units within the Business Central ecosystem.
Binary Stream Multi-Entity Management for Dynamics 365 Business Central
ERP365 provides Multi-Entity Management from Binary Stream as an extension to Microsoft Dynamics 365 Business Central for organizations that operate across multiple legal entities, subsidiaries, or business units. The solution centralizes financial operations, automates intercompany transactions, and simplifies consolidated reporting, enabling businesses to manage multiple entities from within their existing Business Central environment.
Key Features of the Solution:
Multi-Entity Management enables businesses to manage financial processes across multiple legal entities from a centralized platform. This reduces the need to maintain separate systems and provides greater visibility across the organization.
The solution consolidates financial information across business units and provides real-time insights into overall business performance. This allows management to generate consolidated reports more efficiently and gain a clearer view of financial results across entities.
Intercompany transactions can be processed across multiple entities from a single location. The solution helps automate and match accounts receivable and accounts payable transactions, reducing administrative effort and helping identify discrepancies before financial close.
Multi-Entity Management supports the use of shared master records across entities, helping eliminate data silos, duplication, and inconsistencies. This creates a more reliable and consistent source of information throughout the organization.
The solution allows organizations to manage user access based on individual entities. This provides greater control over which users can access and work with financial information for specific companies or business units.
The solution includes AI capabilities designed to help users ask questions about intercompany balances in natural language. The AI can cross-check accounts receivable and accounts payable information and provide access to the underlying transactions for further investigation.