The pro-active way to manage your business.
Plan using a 5 Year Financial Forecast window with Balance Sheet, Income Statement, Cash Flow, Funds statement
Evaluate using variance reports comparing budgets to actual and forecast data.
Action by adjusting your forecast to your changing business plan to keep focused on achieving your targets
DataWise Forecast provides businesses with an incredibly powerful pro-active management tool. Forecasting is fully automated and produces a Balance Sheet, Income statement, Cash Flow and Statement of Funds. Designed to import Actual data and combine it with Forecast data giving projected year end results.
Key Benefits
- Plan the work � Work the plan
- Measure your business progress along a planned path
- See your business from a whole new perspective
- Take more control of your company
- Support documents for bank loans
- Take the surprises out of business change
- Save hours of work on spreadsheets that don't balance
- Integrated set of reports
- Based on a set of financial transactions
Forecasting
- 1 � 5 year financial statements forecast
- 1 � 60 period (single forecast)
- Monthly, Weekly or Project forecasts
- Consolidation of separate forecasts
- Actual, forecast and budget comparisons
- 12 column reports
- Import actual data from accounting systems (MYOB, NZA and other systems)
- Can be independent of accounting system
- Interest calculations
- Save and Restore multiple scenarios
Cash Flow
- Individual accounts
- All bank accounts combined
- 12 column reports
Funds Statement (Source & Application of Funds)
- Standard report
- Customised report
- 12 column reports
Importing from other systems
- MYOB Accounting, Accounting Plus and Premier
- MYOB Exonet
- MYOB Accountants Office
- Pastel Accounting
- Generic import for CSV (Comma Separated Values) file. If your accounting system can export the chart of accounts and ledger transactions to a customisable CSV or Excel format, data can be easily imported into DataWise Forecast.