3 Way Forecasting
Streamline financial projections for a complete picture of your business trajectory to make complex planning simple.
Business
Trajectory
Connected
Statements
Connecting P&L, balance sheets, and cash flow statements allows for quick highlighting and visual insights into future financial situations, ensuring the business can meet supplier and employee payments.
Automated
Forecasts
Complete in minutes what can take weeks or months in other software. Eliminate manual data entry, version control issues, and repetitive manipulations, freeing you to focus on strategic financial management.
Simple
Planning
Creating forecasts and budgets has become a straightforward process, enabling the production of strategic plans with ease.
Integrated
Statements
Effortlessly generate comprehensive financial statements – Profit and Loss, Balance Sheet, and Cash Flow for an accurate and timely view of the company’s financial health.
Performance
Analytics
Compare financial plans, budgets, and forecasts against real data. Providing you with insightful analytics for a thorough understanding of your financial performance, aiding in strategic decision-making.
Multi-Year
Budgeting
Easily group different yearly budgets, creating a comprehensive overview for long-term financial planning. Simplify tracking and adjust multi-year financial strategies, enhancing your ability to make informed decisions based on trends and changes.
Stategic
FP&A
Enhance financial planning and analysis with comprehensive tools for effective strategic planning, enabling you to align financial objectives with corporate strategy easily.
Dynamic
Modeling
Our FP&A tool allows for creating customized models that accurately reflect the complexities of your business, driving better financial decisions.
Cash Flow
Forecasting
Integrates past and present financial data, providing a clear forecast and helping you effectively prepare for future financial scenarios.
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