Ready to USE Cashflow Forecasting Software

Create your Business Cashflow forecast in just three steps with Awesome Forecast.

First, select your accounts and forecast assumptions

Second, enter your P&L and Opening Balance Sheet

Third, enter your non-P&L expenditure items such as Fixed Assets and loans

And then Awesome Forecast will create your cashflow forecast, it’s that easy.

And since it works in Excel , it’s easy to use and you can have your forecast done in an afternoon.

With additional features as a Scenario Tool, 13-Week Daily Cashflow and a very useful Rolling Cashflow functionality, you can update your forecast monthly and update your forecasts at a touch of a button.

See for yourself how easy it is, by downloading a free 14-day Demo from our website,

www.awesomeforecast.co.uk

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