Multi-Location Forecasting
CashAnalytics will streamline and automate the collection and consolidation of cash flow data from multiple business units and locations across a business.
CashAnalytics will streamline and automate the collection and consolidation of cash flow data from multiple business units and locations across a business.
Cash forecasting in businesses with multiple business and locations is difficult due to the effort in collecting and consolidating large amounts of cash flow data in excel templates on an ongoing basis.
Using CashAnalytics, each business unit controller enters or loads their forecast data directly in the system through an intuitive web based interface. This means that all data automatically flows through to a central reporting model, removing the need to collect and manage data manually.
The cash forecast data from all business units can then be quickly and easily consolidated into a single reporting output using a range of reporting tools.
CashAnalytics has an excel like interface that is very easy to use and will be familiar to all users.
Track business unit user submissions and monitor progress through a single dashboard.
Quickly consolidate cash flow data from all business units into a single reporting output.
Drill down to business unit and transaction data through consolidation and variance reporting.
Get rid of your spreadsheets and manage your cash flow easily in one place.