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Cash flow forecasting and management software

Integrate P&L statements with balance sheets and cash flow projections

Improve cash flow forecast accuracy and minimise manual data entry with streamlined, automated balance sheet and cash flow management software.

The ability to have real-time visibility into our results, analyse what the numbers mean, and make adjustments to manage cash flow, inventory, and staffing at a store level has been a tremendous advantage.

Tom Shaw, CFO, Papyrus

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Top-down balance sheet and integrated cash flow planning

Incorporate best practices and model your balance sheet using a top-down approach at the total company or entity level, and then budget at the roll-up account level. Use our software's formula logic to create a completely automated cash flow that reflects changes in the balance sheet.

Comprehensive balance sheet modelling

Adjust key balance sheet assumptions and drivers, such as DSO and DPO, for payables and receivables. Create logic for supporting schedules like inventory, pre-paids, debt amortisation, and accruals. Account for fixed assets and accumulated depreciation from capital purchases.

Global financial planning, simplified

Simplify multi-currency balance sheet plans for multinational operations. Our balance sheet and cash flow software automatically translates actuals at the entity level — in the local currency — to the corporate currency, and automates cumulative translation adjustment. Create historical rates for common stock, asset purchases, and more, and report financial data in any currency.

Consolidated balance sheet and cash flow

Our powerful rules engine cuts the need to manually compare inter-company payables and receivables and generate eliminations across subsidiaries. Real-time rules identify and match trading partners to auto-generate variances and create balanced entries. You always have a truly consolidated balance sheet and an accurate view of cash flow for the entire enterprise.

Flexible scenario planning and analysis

Model different financing scenarios, DSO terms, cash flow forecasts, and more to get greater transparency into investment income and liquidity, as well as to identify growth opportunities and fundraising needs. Updates to revenue and expenses automatically flow to the balance sheet and cash flow, so your financial projections are always up to date.

Manage metrics to achieve optimum financing and liquidity

Monitor business performance with an at-a-glance overview of analytics for key ratios — quick, current, debt/equity, and turnover. One-click refresh of cash flow forecasting and other financial reports makes it easy to provide executive management with the critical metrics that inform sound investment strategy.

Interested in seeing our balance sheet and cash flow forecasting software in action?

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