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  Cash Flow & Profit Forecasting

COINS Cash Flow and Profit Forecasting is an extension to the functionality offered in the COINS Land Appraisal, House Sales, VAP (Valuations and Automated Payments) and Financials modules.  It provides a single solution for collating multiple appraisals, financial information, along with proposed and existing development details to form a consolidated cash flow and profit forecast. 

The high level of integration provided with the rest of coins significantly reduces the time taken to produce a forecast and improves its accuracy.  It is also highly configurable, allowing users to tailor the system to suit their method of forecasting.

Key business and functional processes supported:

  • Cash flow and profit forecast model definition.
  • Ability to update and monitor forecasts.
  • Optimum mix of model developments to achieve company objectives.
  • Production of “what if” scenarios.
  • Reporting and Key Performance Indicators.

 

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