Budgets
OpenPro Budgeting cash inflow and outflow enables your managers to
prepare forecasts and let you plan for future cash needs. OpenPro helps you
easily predict investment opportunities or future cash deficiencies, giving you
the information you need to make critical business decisions. Greatly reduce the
risk of bank overdrafts and last-minute loans with OpenPro cash flow projection
tools. OpenPro helps manage your budget and cash flow, so that you can
effectively:
- Budget based upon many different sources with flexible and configurable
applications.
- Export to and import from spreadsheets.
- Select cash flow inputs and quickly adjust to output derivations,
including existing data, actual averages, what-if values, weighted average
and user-defined values.
- Choose from many reports, including a forecast template and line item
calculations.
- Save multiple forecasts so you can compare current cash flows with past
and future accounting periods.
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