ProfitBase
Establish seamless dataflows to gather data from multiple sources and business systems. Easily build driver-based models, based on your business, that can evolve as your company grows. Plan for contingencies to grasp the impact of events and decisions – within minutes. Work smoothly as a single team – create and manage work processes. Profitbase Planner gives you the capacity to focus on value creation. Spend less time gathering data and more time analyzing it. Analyze different scenarios, and get a better understanding of the financial impact of conceived situations on liquidity, profit and balance sheet. Get automatic generation of balance and liquidity when running scenario simulations. Return to a previous version at any time to backtrack assumptions. Test your business strategies and scenarios with various assumptions and business drivers.
Learn more
RiskConfidence
The RiskConfidence ALM system offers integrated enterprise asset and liability management (ALM), funds transfer pricing (FTP), liquidity risk management, market risk and Value at Risk (VaR), and business and regulatory reporting. These are all presented in a single unified platform, with a common data source and a single engine strategy. Organize and classify financial instruments on a balance sheet into a tree-like structure to input client behavior models and define business forecasts, using the chart of accounts (COA) structure. Set up and manage a rule-based strategy for specific balance sheet items with parameter deal mapping (PDM). Apply transformation logic to interest rate curves, macroeconomic indices, foreign exchange rates, transaction characteristics, and volatility matrices to use in scenarios. Model client behavior such as loan prepayments and renegotiations, loan commitments, transaction rollovers, and term deposit early redemption with the variables that influence them.
Learn more
Visual Cash Focus
Visual Cash Focus is a comprehensive budgeting and forecasting software developed by Cash Focus, designed to simulate business trading activities for accurate financial planning. Users input their starting balance sheet along with estimates for revenue, cost of sales, expenses, taxes, and dividends. The software then calculates expected cash flow, net income, bank balances, accounts receivable and payable, inventory levels, balance sheets, income statements, and financial ratios for each period. It supports detailed inputs such as fixed asset schedules, overdraft arrangements, lease and hire purchase payments, long-term loans, and inventory requirements. Budgets can be managed by profit centers, allowing for granular reporting. Visual Cash Focus employs double-entry accounting methods to prepare budgets and management reports, ensuring accuracy and accountability.
Learn more
Adra Balancer
Take the repetition out of your balance sheet reconciliation process for a financial close that's fast, accurate, and easy to manage. See the most helpful features, dashboards and consoles in action. Bring the speed, accuracy and control you’ve been craving in your balance sheet reconciliation process.
Learn more