Increase Efficiency for Your Business
Through its GL integration, the Maestro Suite automatically adjusts projected revenues, expenses and the anticipated bottom line, based on incoming actuals.
Financial forecasting with the Maestro Suite means your finance team can routinely deliver detailed business predictions, enabling your leadership team to make faster, more informed decisions that are driven by actual results.
MAESTRO SUITE BENEFITS
- Integrate with your GL to enable accurate financial forecasts, based on real results
- Create and monitor driver-based plans, accommodating factors such as seasonal trends for realistic financial forecasts
- Quickly identify where, when and why actuals differ from plan, so you can take appropriate action
- Use balance sheet and cash flow forecasts to monitor how much cash your company will have in the months and quarters ahead
- Provide a long-term view with the ability to create rolling financial forecasts beyond 12 periods
- Forecast the impact of multiple scenarios so you can choose the best option
- Forecast workforce expenses to identify where changes are necessary to meet your business goals