| New to Budgeting and Forecasting? We have the perfect solution - 12 Easy steps to creating a complete business budget and cash flow forecast.
Fully Integrated Reports:
12 month budget
12 month cash flow
12 month balance sheet Forecast:
-Sales and collections
-Fixed and variable expense
-Cost of goods sold- material, labor and overhead (if applicable)
-Inventory using turn over rates
-Amortize term debt (up to 20 loans)
-Credit line activity ( Incl. -A/R & inventory financing)
-Depreciation
-Purchase of equipment
-Income tax and estimate payments
-Create multiple forecasts up to 99 |