Managing Cash Flow
Generate your profit and loss, cash flow and balance sheet results and forecasts easily.
- Simply answer plain English questions that link in to an underlying complete business model.
- No more cumbersome and complicated excel spreadsheets requiring complex accounting knowledge.
- Get away from traditional spreadsheets liable to mistakes and inaccuracy.
- You won’t need a substantial understanding of formulas, or data entry knowledge.
- CashMAX™ Forecaster’s integrated set of reports of balance sheets, cash flow and profit and loss balance are projected proficiently and effectively with minimal effort.
Free up the time to think about the factors that really matter – your business and the decisions you need to make to improve the business based on the forecast results.