We build our forecasting models based on historical data related to the business itself and its underlyings with the understanding of our financial experts.
The interoperability of our solution with your ERP allows us to analyze the inputs and outputs of flows to produce forecasting models of unique precision according to scenarios that you have configured.
We automate your recurring activities and feed strategic forecasts to make the right decisions, quickly. By doing this, your cash flow forecast will improve over time.