Quick to deploy Seed your income statement forecast into the Cash Flow Forecasting app and you’re quickly under way to build your cash flow and balance sheet scenario models. Graphs that visualize monthly cash levels for each of the scenario models, monthly net debt levels for each of the scenario models, waterfall analysis of net cash flow for the year, and waterfall analysis of free cash flow for the year.Īdvantages of the Cash Flow Forecasting app.Balance sheet forecasts providing relevant insights into monthly working capital levels, total capital employed, net debt levels, and total funds provided.Automatic drawing of additional funds in case the cash levels drop below what is considered the minimum cash required to operate, providing valuable insights when additional funds are needed and what those funding needs are.Modeling of other investing and financing activities, including mandatory debt repayments.Modeling of different levels of capital expenditure.Ability to smartly model the pay out timing of corporate income taxes.Ability to smartly model the pay out timing of holiday allowance, bonuses, and VAT.Working capital forecasts using intelligent DSO and DPO formulas that include VAT impacts.Breakdown of operating costs into fixed costs and variable costs in order to support realistic scenario impacts of change in productivity levels.Income statement scenarios with standardized modeling capabilities around change in productivity levels, change in yield levels, change in purchase price levels, and change in advertising spend.Ability to forecast income statement, cash flow and balance sheet in a best case, upper base case, base case, lower base case and worst case scenario. ![]() ![]() ![]() What does the Cash Flow Forecasting app cover?
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