Cash Flow Forecasting
Complete the form to download the white paper.
Seven software features to look for
(hint: Vanguard Predictive Planning™ has them all)
Accurate cash flow forecasting is critical for balancing capital investment plans with liquidity needs. An enterprise planning tool that integrates workflow and data systems to deliver fast, accurate cash-flow forecasts ensures that your organization’s cash flow forecasting is up to par. In this white paper, you will learn how Vanguard Predictive Planning does the following:
- Provides up-to-date forecasts
- Gives one version of the truth
- Enables complete transparency
- Allows you to test what-if scenarios
- Automates time-consuming data management
- Uses advanced analytics to find important information
- Balances analytics with insight
"Vanguard Software was able to improve our forecast accuracy by over 50%!"
Social media-style communication feed allows users to collaborate across teams - even tag objects and people.
Fast and reliable data transfer ensures you are never slowed down by your network.
Monte Carlo Simulation
Compare hundreds of scenarios in seconds. Generate forecasts with higher confidence levels and superior risk transparency.
Gain visibility and foresight with our easy-to-read consumable analytics. Let our AI engine recommend next steps to ensure best practices.
Play with what-if scenarios in-memory. Feel confident about your next steps before committing plans to the database.
Real-world modeling, flexibility, and reliability are just a few of the benefits of an object-oriented database.