Cash Forecasting
No Code, Excel-like Platform. Connecting human judgment and machine learning.
Create local, regional, and global level forecast models as per client organization needs.
Utilize excel-like, math, and AI formulas to populate cash forecasts in your model.
Automatically generate recurring forecasts and make manual adjustments for exact and adaptable cash forecasting.
Watch digital transformation experts from Genpact and HighRadius discuss use cases of AI in generating accurate daily forecasts and how it can reduce your cash conversion cycles.
Watch the WebinarDownload this ready-to-use template for treasury teams to track cash inflows/outflows, cash on hand and the closing balance on a daily, weekly, 13-week or monthly basis.
Download the TemplateGet insights on how AI is transforming AR and AP forecasting by predicting customer payment behavior and payment durations.
Download the EbookLiveCube cash forecasting is an advanced solution for businesses to predict their future cash flows with precision. This no code cash forecasting software allows users to create accurate cash forecasts without extensive programming knowledge and also integrates seamlessly with other financial tools.
It provides real-time data and analytics, helping organizations make informed financial decisions. By leveraging this cash flow forecasting software, businesses can optimize their cash management, reduce financial risks, and ensure liquidity. Its robust features and adaptability make it an essential tool for effective financial planning and forecasting.
LiveCube cash forecasting offers real-time data integration, customizable forecast models, and advanced analytics. This no code cash forecasting software allows users to build and modify forecasts without programming expertise and supports Excel-like formulas, making it easy to use for many users.
Additionally, LiveCube provides automated forecast generation, which can be manually adjusted for more accuracy. It offers comprehensive reporting and dashboard capabilities, enabling businesses to visualize and analyze their cash flow data effectively. These features make LiveCube an invaluable tool for precise and adaptable cash forecasting.
Yes, LiveCube cash forecasting allows users to create custom forecast models. It is designed for flexibility, ease of use, enabling users to build and modify models without programming skills and ensures that businesses can adapt their cash forecasting processes to meet dynamic market conditions.
By providing a platform for creating bespoke forecast models, LiveCube helps organizations achieve greater accuracy and relevance in their financial planning and cash flow management.
Yes, LiveCube cash forecasting supports the use of Excel-like formulas, allowing users to leverage their familiarity with Excel to create and modify forecasts. This feature makes it easier for users to transition from traditional excel cash forecasting software to a more automated solution.
By incorporating Excel-like formulas, LiveCube enhances its usability and functionality, making it accessible to a wider range of users. This capability ensures that users can perform complex calculations and analyses within the LiveCube environment, improving the accuracy and efficiency of cash forecasting efforts.
Yes, LiveCube cash forecasting allows users to make manual adjustments to automatically generated forecasts. This no code cash forecasting software provides the flexibility to refine forecasts based on specific insights, ensuring greater accuracy and relevance in financial planning.
Manual adjustments in LiveCube enable users to incorporate real-time data and expert judgment into their forecasts. This feature ensures that forecasts remain dynamic and adaptable, allowing businesses to respond swiftly to new information and changing market conditions. LiveCube’s flexibility enhances the precision and utility of cash forecasting.
LiveCube cash forecasting automation streamlines the process, saving time and reducing errors. This software provides accurate, real-time forecasts, enabling businesses to make informed financial decisions. Automation also enhances efficiency, allowing teams to focus on strategic activities.
The benefits of LiveCube’s forecasting automation extend to improved financial visibility and control. By providing timely and accurate cash flow projections, LiveCube helps organizations optimize their cash management, reduce financial risks, and ensure liquidity. Its advanced features and ease of use make it a valuable asset for any organization.
Yes, LiveCube cash forecasting integrates seamlessly with other financial systems and software. It is designed to work with various data sources, providing a unified platform for comprehensive financial management. Integration capabilities enhance data accuracy and streamline the forecasting process.
By connecting with other financial tools, LiveCube ensures that all relevant data is incorporated into cash forecasts. This integration facilitates real-time updates and accurate forecasting, allowing businesses to maintain a holistic view of their financial health. LiveCube’s interoperability makes it a versatile and powerful tool for cash forecasting.
Cloud-based cash forecasting software is a powerful tool designed to predict future cash flows accurately. With intuitive features and advanced analytics, it helps businesses forecast their cash inflows and outflows, optimize liquidity management, and make informed data-driven financial decisions to drive growth and profitability.
Cash flow forecasting tools offer businesses future cash flow predictions with up to 95% accuracy, empowering proactive decision-making for optimized liquidity and working capital management. Real-time insights, scenario analysis, and customizable AI/ML forecasting models enhance cash flow visibility, reducing idle cash by up to 50%, and increasing overall forecasting productivity by up to 70%.
Cloud forecasting software utilizes advanced AI/ML algorithms and real-time data analysis to accurately predict future cash flows. With customizable category-based forecasting models and intuitive dashboards, it empowers businesses to proactively manage liquidity, optimize working capital, reduce idle cash, and make informed financial decisions for sustainable growth.
The best cash flow forecasting software’s features include customizable advanced AI/ML category-based forecasting models, real-time data analytics, and intuitive dashboards for actionable insights. Its ability to integrate with ERP systems and various banks to provide accurate predictions helps businesses optimize liquidity, reduce financial risks, and drive profitability with confidence and precision.
The best cash flow forecasting tools don’t have just one AI model for all cash flow categories; they offer an auto-ML system that reviews all prior bank transactions and selects the modeling method with the highest prediction accuracy for the category at that time. HighRadius is the best cash forecasting software due to its advanced AI for AR and AP cash flow categories.
Cash flow planning tools seamlessly integrate with most ERP systems, including SAP, Oracle, NetSuite, Sage Intacct, Workday, and Microsoft Dynamics, among others. This integration ensures smooth data exchange between your ERP and cash flow forecasting tool, allowing businesses to accurately predict cash inflows and outflows and make data-driven financial decisions with increased productivity.
The implementation time for a cash forecasting software varies based on the complexity of your organization’s requirements. However, the HighRadius Speed to Value methodology guarantees swift implementation and ROI realization within 3 to 6 months, setting an industry benchmark. Our dedicated implementation team works closely with you to ensure a smooth transition with minimal disruption to your cash flow forecasting process.
Cash flow software for enterprise and mid-market business seamlessly integrates with a wide range of banks and financial institutions. Our flexible integration capabilities ensure that payment information from all the industry-standard bank payment files and formats is captured, providing real-time visibility, accurate cash forecasts, and control over your financial transactions and balances, enabling you to make better liquidation decisions.
Cash forecasting software needs to be designed for minimal IT involvement. With seamless plug-and-play integration into ERPs using real-time APIs and Hex (SFTP) connectors, along with pre-built modules and industry-specific best practices, customers can deploy HighRadius remotely with ease, reducing all IT dependencies.
Cash forecasting software prioritizes data security and privacy, adhering to stringent industry standards such as GDPR, ISO, PCI DSS, HIPAA, and SOC. HighRadius employs robust encryption protocols and role-based access controls to safeguard your sensitive financial data, ensuring the utmost confidentiality and compliance with regulatory requirements.
Yes, LiveCube cash forecasting offers pre-built models to facilitate quick and accurate cash flow predictions. These models are designed to cater to common forecasting needs and can be customized further to fit specific business requirements without building models from scratch.
Pre-built models in LiveCube provide a foundation for accurate and efficient cash forecasting. They enable users to leverage proven forecasting methods while retaining the flexibility to modify and refine models as needed. This feature ensures that businesses can achieve reliable forecasts quickly and efficiently.
Schedule your 30 minute personalized demo for a live walkthrough of our Autonomous Finance capabilities.