Control and plan business activities
It monitors costs and revenues with the budget, cash flows with the cash flow, creates the consolidated balance sheet of the group companies.
Enter the budget of costs and revenues and monitor its progress on a monthly basis
Monitor future cash flows using invoice and order due dates, also entering expected future income and expenditure, e.g. your loan repayments
One-click creation of consolidated financial statements with the possibility of calculating intercompany eliminations automatically
10 € / month