TAIGA Budget is a financial planning software. It enables to reconstruct your financial statements (balance sheet, income statement, cash flow) and elaborate an operational budget. The latter can be determined through the account clearance, incoming payments and outgoing payments information from the monthly budget of 12, 24 and 36 months.
This practice can be applied to one or many organizations. TAIGA Budget can neutralize intercompany transactions if applicable.
TAIGA Budget enables to follow the performance of an enterprise on a monthly basis and easily reconstruct your forecast financial statements.Get in touch with TAIGA to know more
logged in real time
Produce your forecast cash flows automatically each month, avoiding the stress of broken Excel formulas
Simple to use
Share a common tool with your employees and subsidiaries and improve your strategic decision-making
Produce a forecast cash flow each month and generate the management reports in accordance to your company needs
Consolidate your accounting
and financial reports
Merge your charts of accounts and neutralize your tangible assets and see a clear view of your flows by company
Quick win #1. Clear forecasts
Once you have modeled your account clearance and payments in/out rules, you can recalculate your year-end turnover figures every month.
Quick win #2. Simplicity
Easily consolidate your numerous Excel sheets,
direct and indirect forecasts and
obtain consistent charts of
accounts for all your subsidiaries.
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TAIGA Cash Forecast
TAIGA Cash Collection
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