cf one page summary r5.7

1
Sample project Slide Presentation Video guide Contractors Project Cash Forecast - Net Month End cash (Dhs mn) Chart illustrating relationship of Advance Payments and Retention for Client (Inflows) and Vendors AP Client (Net) Client Retention Vendor Retention AP Vendor status Bank cash 'Month end' forex values Applicaon features An applicaon for use by To be used in Why change your exisng system? Applicaon performs and consists of Finance Costs Restructure Plans Payment options Currency Planning Consistency Accuracy Speed Cost 365 www.asiancontractservices.com // www.cash.asiancontractservices.com CASH FORECASTING : CF-365 module End of business day - available cash Inflows & Outflows - Payment Lag - Excel - No formula input www.cash.asiancontractservices.com www.asiancontractservices.com C-Charts C-Monthly C-Daily C-Forex R-Output R-Chartinfo R-Output V E-Output E-Chartinfo E-AP E-Output V C-Startup R-Maintenance E-Maintenance Retention & AP Notes Dashboard Input - Dual Entry Consolidated Revenue Expenses Maintenance General Workbook Design - Worksheet Names and Groups Quick, accurate and error free cash look-ahead Daily based calculaons and logic Clear, communicable, consistent outputs/reports Traceable outputs which can be exported Develop opons and risk scenarios/stress tests No special Excel skills required Developers - Contractors Subcontractors – Lenders – Consultants Small - mid sized - large business Feasibility studies - Tenders Live projects - Due Diligence Time savings = Less Cost Cash crisis Consistent reporting Eliminate errors Reduce reviewing time Optimize your cash Use the best tools available Better presentations & impact Business expansion & systems 365/daily analysis Day based management of payment lags – In and Out Net cash reports on a daily & monthly basis Custom designed Microsoſt Excel module Manages deposits, advances, retenon & refunds Mulple currency - Inflows and Oulows Daily interest earned/paid - Run ‘What-ifs’ and Risk Earned value, cost projecons, forecasng escalaon 2 x 2-3 hours training sessions (high-end novice Excel user) Fully protected structure and error free Toolbar driven for ease of use, no user formula input Reduced preparation & review time No structured system, no genuine look-ahead Same format for all users, easy consolidation Avoid re-work, delays and 2nd / 3rd reviews Generic format for easy, focused review Better forecasts, better use of your business cash A template to cover all your payment variables Better negotiations with funding agents, vendors More reliable forecasts required A long term, daily, trending look-ahead forecast screenshots

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Page 1: CF One Page Summary r5.7

Sample project

Slide Presentation

Video guide

�������� �����

Contractors Project Cash Forecast - Net Month End cash (Dhs mn)

Chart illustrating relationship of Advance Payments and Retention for Client (In�ows) and Vendors (Out�ows)

AP Client (Net)Client Retention

Vendor Retention

AP Vendor status

Bank cash

'Month end' forex values

Application features An application for use by

To be used in

Why change your existing system?Application performs and consists of

Finance CostsRestructure PlansPayment options

Currency PlanningConsistency

AccuracySpeedCost365

www.asiancontractservices.com // www.cash.asiancontractservices.com

CASH FORECASTING : CF-365 module

End of business day - available cash

Inflows & Outflows - Payment Lag - Excel - No formula input www.cash.asiancontractservices.comwww.asiancontractservices.com

C-ChartsC-MonthlyC-DailyC-Forex

R-OutputR-ChartinfoR-Output V

E-OutputE-ChartinfoE-APE-Output V

C-StartupR-MaintenanceE-MaintenanceRetention & APNotes

DashboardInput - Dual Entry

Consolidated Revenue Expenses Maintenance General

Workbook Design - Worksheet Names and Groups

Quick, accurate and error free cash look-aheadDaily based calculations and logicClear, communicable, consistent outputs/reportsTraceable outputs which can be exportedDevelop options and risk scenarios/stress testsNo special Excel skills required

Developers - ContractorsSubcontractors – Lenders – Consultants

Small - mid sized - large business

Feasibility studies - TendersLive projects - Due Diligence

Time savings = Less Cost

Cash crisis

Consistent reporting

Eliminate errors

Reduce reviewing time

Optimize your cash

Use the best tools available

Better presentations & impact

Business expansion & systems

365/daily analysis

Day based management of payment lags – In and Out

Net cash reports on a daily & monthly basis

Custom designed Microsoft Excel module

Manages deposits, advances, retention & refunds

Multiple currency - Inflows and Outflows

Daily interest earned/paid - Run ‘What-ifs’ and Risk

Earned value, cost projections, forecasting escalation

2 x 2-3 hours training sessions (high-end novice Excel user)

Fully protected structure and error free

Toolbar driven for ease of use, no user formula input

Reduced preparation & review time

No structured system, no genuine look-ahead

Same format for all users, easy consolidation

Avoid re-work, delays and 2nd / 3rd reviews

Generic format for easy, focused review

Better forecasts, better use of your business cash

A template to cover all your payment variables

Better negotiations with funding agents, vendors

More reliable forecasts required

A long term, daily, trending look-ahead forecast

screenshots