Is there any solution that reverse engineers and optimize the sales order, production & procurement plan from the cash flow projections? For example, a company has 10 product units sales enquiry which gets converted to the required production plan (after looking mainly at Free Capacities & expected delivery date) and procurement plans (after looking at stock levels & re-order times). If the sales order could not be optimized (to say, a different quantity & different delivery time) to based on a cash flow projection for the finance team; we could have a complete closed-loop control of cash flow, capacity utilization and procurement overheads, Is such an approach available either in SAP or any other solution?
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