See three months ahead, not just last month's numbers.
Rolling forecasts that keep leadership ahead of what's coming.
Overview
Placeholder overview: we build rolling cash flow and revenue forecasts, updated on a regular cycle, so leadership always has a forward view.
What's included
Key capabilities
Rolling cash flow forecasts
Revenue forecasting
Scenario planning
The impact
What this typically looks like
How we work
Our process
Our process: Discover → Design → Build → Support
- 1
Discover
Understand current systems, data and goals.
- 2
Design
Plan the target approach and architecture.
- 3
Build
Implement and integrate the solution.
- 4
Support
Validate, roll out and support adoption.
Tech stack
Tools & platforms
- Excel
- Power BI
Proof
Related case studies
Four connected dashboards giving a telecom provider one source of truth
Sales, network build-out, finance and field operations each tracked performance in separate spreadsheets, so leadership had no single, current view of the business.
4
Connected dashboards replacing dozens of spreadsheets
Consolidating four QuickBooks entities into one reporting view
Four regional entities each ran their own QuickBooks file, so producing a consolidated group P&L meant exporting and manually merging spreadsheets every month.
4→1
QuickBooks entities consolidated into one view
FAQ
Frequently asked questions
Placeholder question about this service?
Placeholder answer — to be replaced with real FAQ content.
Placeholder question about timelines or pricing?
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Get started
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