CashMAX™ Forecaster provides you with an integrated financial forecast of your balance sheet, cash flow and profit and loss.
CashMAX™ helps you:
- forecast profit and loss for making future decisions
- forecast cash shortages before they happen so you can put strategies in place to deal with them
- save staff time and budget compared with traditional forecasting methods
- prevent costly mistakes resulting from critical decisions based on inadequate information
- simplify the planning and analysis process
- focus on the things that matter.
React quickly to changing circumstances and gain a greater understanding of your business’s underlying drivers with CashMAX™.