Andere bekeken ook

How can I personalize my reporting structure with Monitr?

With Monitr, adapting your reporting structure to fit your company's needs is straightforward. Besides offering a balance sheet, an income statement, and a cash flow statement, Monitr allows for individual adjustments and personalization of each report. You have the option to start with a reporting template tailored to your industry or to import your own reporting structure from your accounting software. Moreover, Monitr enables you to quickly gain insights into your figures, break down totals, and utilize analytical axes, such as cost centers, cost units, and projects, among others.

With Monitr, adapting your reporting structure to fit your company's needs is straightforward. Besides offering a balance sheet, an income statement, and a cash flow statement, Monitr allows for individual adjustments and personalization of each report.

You have the option to start with a reporting template tailored to your industry or to import your own reporting structure from your accounting software. Moreover, Monitr enables you to quickly gain insights into your figures, break down totals, and utilize analytical axes, such as cost centers, cost units, and projects, among others.

Does Monitr replace Spreadsheets or Microsoft Excel?

Monitr serves as the ideal spreadsheet companion, offering functionality in both directions. You can upload your data to Monitr, import your reporting structure, or export your data back to spreadsheets. Moreover, Monitr ensures that your data is always live, achieved through three key methods: a direct link with your accounting software, budget modules, and various integrations. In essence, Monitr eliminates the need for manual data matching, enabling automatic updates in real-time. This ensures that your figures are always accurate and up to date.

Monitr serves as the ideal spreadsheet companion, offering functionality in both directions. You can upload your data to Monitr, import your reporting structure, or export your data back to spreadsheets. Moreover, Monitr ensures that your data is always live, achieved through three key methods: a direct link with your accounting software, budget modules, and various integrations. In essence, Monitr eliminates the need for manual data matching, enabling automatic updates in real-time. This ensures that your figures are always accurate and up to date.

Which systems do you already connect to?

Monitr seamlessly integrates with your accounting, project management, CRM, subscription management, and other operational tools. Every day, Monitr establishes new connections with existing software packages. For more information, visit our integration page or speak directly with an integration expert.

Monitr connects easily with your accounting, project management, CRM, subscription management and other operational tools. Click here to check the full overview of our integrations.

Didn't find your integration? Monitor makes new connections with existing software programs on a daily basis. Click here to request an integration or talk to an integration expert directly.

What happens when I connect Monitr to my accounting software?

Monitr provides an efficient solution for synchronizing your accounting data. However, it operates on a one-way traffic basis, meaning that Monitr imports data from your accounts but does not alter it. This ensures the protection of your data and guarantees that your figures are always current and up to date.

Monitr provides an efficient solution for synchronizing your accounting data. However, it operates on a one-way traffic basis, meaning that Monitr imports data from your accounts but does not alter it. This ensures the protection of your data and guarantees that your figures are always current and up to date.

Can I adjust and supplement a scenario or forecast myself?

Monitr uses a budget builder that lets you create a modified version of an existing budget in just a few clicks. Simulate the effect on your cashflow in real-time and effortlessly compare your budget directly on your dashboard or in your reports. (balance sheet, income statement and cashflow statement)

Monitr uses a budget builder that allows you to create a modified version of an existing budget and simulate the impact on your cashflow in real time. Want to experience it firsthand? Check out our interactive demo here.

What is Monitr's pricing model?

With Monitr, you pay a fixed amount per month based on your turnover. You get access to all functionalities and can connect as many integrations as you need.

With Monitr, you pay a fixed amount per month based on your turnover. You get access to all functionalities and can connect as many integrations as you need.

Does Monitr have a free trial period?

Certainly, you're welcome to experience Monitr for free with our 14-day trial. No credit card is required, and there's no automatic renewal upon expiration. Simply link your accounting software, customize your reporting, and directly take advantage of the ability to simulate your cash flow. Compare your financial performance, utilize rolling forecasts and financial scenarios, and track your cash balance in real-time.

Certainly, you're welcome to experience Monitr for free with our 14-day trial. No credit card is required, and there's no automatic renewal upon expiration. Simply link your accounting software, customize your reporting, and directly take advantage of the ability to simulate your cash flow. Compare your financial performance, utilize rolling forecasts and financial scenarios, and track your cash balance in real-time.

Does Monitr allow for monthly cancellations of its subscription?

You can cancel Monitr at any time at no extra cost. Try Monitr for 14 days for free, with no credit card or automatic renewal.

You can cancel Monitr at any time at no extra cost. Try Monitr for 14 days for free, with no credit card or automatic renewal.

What does Monitr do, and how does it differ from its competitors?

Monitr integrates with your accounting, operational tools, and uses live data to calculate your cashflow in real-time. This approach ensures that your financial projections are not merely extensions of past figures. As your budget is calculated in real-time, you gain a more reliable picture of the actual costs and revenues, and it becomes possible to accurately simulate your cash flow, both in the short and long term.

What does Monitr do, and how does it differ from its competitors? Join us and check out our investor pitch at The Big Score.

💡 What is The Big Score?

The Big Score is a tech event aimed at showcasing the 40 most promising start-ups & scale-ups in Belgium. And in addition, an opportunity to connect them with international tech investors and -innovators.

💡 How does Monitr differ from other competitors?

While anyone can make a forecast, the reliability of your forecast is often greatly defined by the way it's calculated. For this reason, Monitr adopts a fundamentally different approach in the following ways:

⏩ #1: We don't simply extrapolate figures from the past.

Creating your forecast based on past figures is easy, but often inaccurate. Therefore, Monitr calculates your cash flow in real-time. This means you don't simply extrapolate figures from the past; instead, your budget is automatically built from scratch based on your accounting, budget modules, and live integrations.

⏩ #2: We use budget modules.

A budget module features a step-by-step configurator that enables you to calculate your cash flow in a specific manner. This facilitates the composition and adjustment of a cash flow forecast using live data with just a few clicks. Consequently, it provides a more accurate and reliable view of your cash flow, affecting both short-term and long-term financial projections.

⏩ #3: We build your budget completely from scratch.

Monitr adopts a bottom-up methodology for forecasting, meaning that your forecast is constructed from the ground up. This approach ensures that your financial projections are not merely extensions of past figures, but are instead based on a reliable assessment of your actual costs and revenues. As a result, it renders your forecast more credible, both in the short and long term.

Is it possible to maintain my own reporting structure?

With the mapping scheme, you can effortlessly decide how to segment accounts and integrate them into your cash flow forecast and financial reporting. You have two options: if your accounting solutions allows it, you can directly import your reporting structure for a swift setup. If that’s not feasible, Monitr provides the flexibility to either begin with a sector-specific template or fully customise your reporting structure yourself. Thanks to an automatic link to your accounts, your figures are assured to be updated automatically, ensuring your data is always current and accurate.‍

With the mapping scheme, you can effortlessly decide how to segment accounts and integrate them into your cash flow forecast and financial reporting. You have two options: if your accounting solutions allows it, you can directly import your reporting structure for a swift setup. If that’s not feasible, Monitr provides the flexibility to either begin with a sector-specific template or fully customise your reporting structure yourself. Thanks to an automatic link to your accounts, your figures are assured to be updated automatically, ensuring your data is always current and accurate.

Vergelijk

Vergelijk Monitr vs. spreadsheets en andere cash flow software

Monitr
Belangrijkste voordelen
Simuleer je cash flow via een interactief dashboard en visualiseer je resultaat in real-time
Connecteer met je boekhouding en klik door van helicopter view naar factuurniveau

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, posuere nibh lorem enim ut nam imperdiet. Urna, in diam vulputate tristique non ante.

Combineer al je financiële data in één platform en maak gebruik van aangepast dashboards

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, posuere nibh lorem enim ut nam imperdiet. Urna, in diam vulputate tristique non ante.

Gebruik een resultatenrekening, balans & cash flow statement. Filter, pivoteer en klik door

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, posuere nibh lorem enim ut nam imperdiet. Urna, in diam vulputate tristique non ante.

Creëer een rapporteringsstructuur op maat van je bedrijf via een drag en drop builder
Stel in enkele klikken je cash flow forecast op met budget modules
Hou je data up-to-date en werk je forecast in real-time bij op lange en korte termijn

Monitr maakt gebruik van live data om in real-time je cash flow te berekenen. In Monitr kan je gebruik maken van 3 mogelijkheden om ervoor te zorgen dat je cijfers up to date blijven.

Een koppeling met je boekhouding, twee, een live verbinding met je operationele data en tools en tot slot drie, budget modules om je data realistisch bij te sturen op korte termijn.

Live data
Keep your data up to date and update your forecast in real time in the long and short term
Integrate your staff costs and automatically split them into your cash flow forecast

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Integrate your open customers and suppliers with your cash flow

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Integrate your VAT with your cash flow forecast

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Integrate your subscription management with your cash flow forecast

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Integrate your project planning with your cash flow forecast

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Integrate your CRM pipeline with your cash flow forecast
Reporting and insights
Interactive dashboard (Get insight into your budget performance at a glance)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

In-depth reporting (Income statement, balance sheet & cash flow statement with drill down)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Budget actuals overview (Compare performance vs. budget)
Balance forecast (Compare your performance and forecast your balance)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Forecasting overview (Compare your future forecast VS your initial budget)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Delta overview (Compare the differences between your current performance and your initial budget)
Scenario planning (simulate the impact of strategic decisions on your cash flow)
Use analytic data (filter, pivot and segment by departments, locations, projects,...)
Consolidation (Easily consolidate multiple entities into one platform)
Multi Currency (Convert your numbers into different exchange rates)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Cash flow forecasting
Calculating cash flow forecast
Budget modules & live integrations
Data matching

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Automatically
Budget structure

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Budget builder and step-by-step configuration
Methodology

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Bottom up forecasting met live data
Reliability
Less error-sensitive, thanks to automatic matching, no manual action required.
Accuracy
Real-time short-term adjustment, based on integrations & budget modules
Interactive dashboards
Drill-down navigation: (Get a detailed view of your finances. Use drill downs, analytical data, etc)
Key metrics dashboard: (See budget performance at a glance)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Staff costs: (View and simulate the total cost of your staff in one screen)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Outstanding customers & suppliers: (Get an overview of all outstanding invoices and payments)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Project income: (View billability per employee and compare your current schedule with respect to your maximum capacity)
Recurring revenue: (Track your churn, MRR and growth in one clear dashboard)
Inventory: (Integrate your cost of goods sold into your cash flow forecast and determine your gross margin per product)
Other features
Real-time forecasting (simulate the evolution of your cash flow over time in real time)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

What-if scenarios (simulate the impact of strategic decisions on your cash flow in real-time)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Budget modules (calculate your cash flow automatically and compile your budget in just a few clicks)
Analytical data (filter, pivot and include analytical data in your reporting)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Spreadsheet compatible (Upload or export budgets from a spreadsheet)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Multi Currency (Convert your numbers into different exchange rates)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Spreadsheets
Belangrijkste voordelen
Simuleer je cash flow via een interactief dashboard en visualiseer je resultaat in real-time
Connecteer met je boekhouding en klik door van helicopter view naar factuurniveau

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, posuere nibh lorem enim ut nam imperdiet. Urna, in diam vulputate tristique non ante.

Combineer al je financiële data in één platform en maak gebruik van aangepast dashboards

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, posuere nibh lorem enim ut nam imperdiet. Urna, in diam vulputate tristique non ante.

Gebruik een resultatenrekening, balans & cash flow statement. Filter, pivoteer en klik door

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, posuere nibh lorem enim ut nam imperdiet. Urna, in diam vulputate tristique non ante.

Creëer een rapporteringsstructuur op maat van je bedrijf via een drag en drop builder

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, posuere nibh lorem enim ut nam imperdiet. Urna, in diam vulputate tristique non ante.

Stel in enkele klikken je cash flow forecast op met budget modules

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, posuere nibh lorem enim ut nam imperdiet. Urna, in diam vulputate tristique non ante.

Hou je data up-to-date en werk je forecast in real-time bij op lange en korte termijn

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, posuere nibh lorem enim ut nam imperdiet. Urna, in diam vulputate tristique non ante.

Live data
Keep your data up to date and update your forecast in real time in the long and short term
Integrate your staff costs and automatically split them into your cash flow forecast

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Integrate your open customers and suppliers with your cash flow

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Integrate your VAT with your cash flow forecast

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Integrate your subscription management with your cash flow forecast

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Integrate your project planning with your cash flow forecast

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Integrate your CRM pipeline with your cash flow forecast

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Reporting and insights
Interactive dashboard (Get insight into your budget performance at a glance)
In-depth reporting (Income statement, balance sheet & cash flow statement with drill down)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Budget actuals overview (Compare performance vs. budget)
Balance forecast (Compare your performance and forecast your balance)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Forecasting overview (Compare your future forecast vs. your initial budget)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Delta overview (Compare the differences between your current performance and your initial budget)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Scenario planning (simulate the impact of strategic decisions on your cash flow)
Use analytic data (filter, pivot and segment by departments, locations, projects,...)
Consolidation (Easily consolidate multiple entities into one platform)
Multi Currency (Convert your numbers into different exchange rates)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Rapportering en inzichten
Interactief dashboard (Krijg in één oogopslag inzicht in de prestaties van je budget)
Diepgaande rapportering (Resultatenrekening, balans & cash flow statement met drill down)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, posuere nibh lorem enim ut nam imperdiet. Urna, in diam vulputate tristique non ante.

Budget actuals overzicht (Vergelijk je prestaties vs. je budget)
Forecasting overzicht (Vergelijk je toekomst prognose vs. je initieel budget)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, posuere nibh lorem enim ut nam imperdiet. Urna, in diam vulputate tristique non ante.

Delta overzicht (Vergelijk de verschillen tussen je actuele prestaties en je initieel budget)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, posuere nibh lorem enim ut nam imperdiet. Urna, in diam vulputate tristique non ante.

Scenarioplanning (simuleer de impact van strategische beslissingen op je cash flow)
Gebruik analytische data (filter, pivoteer en segmenteer op afdelingen, vestigingen, projecten, ...)
Consolidatie (Consolideer eenvoudig meerdere entiteiten in één platform)
Cash flow forecasting
Calculating cash flow forecast
Manual input and manual formulas
Data matching

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Manual matching with formulas
Budget structure
Manual connection between different CSV files
Methodology

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Moment recording - often figures drawn from the past
Reliability

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

More error-prone due to manual formulas & manual matching
Accuracy
Manual adjustment through CSV imports and a narrower data range through matching
Interactive dashboards
Drill-down navigation: Get a detailed insight into your finances. Use drill downs, analytical data, etc
Key metrics dashboard: See budget performance at a glance

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Staff costs: View and simulate the total cost of your staff in one screen

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Outstanding customers & suppliers: Get an overview of all outstanding invoices and payments

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Project income: View billability per employee and compare your current schedule with respect to your maximum capacity
Recurring revenue: Track your churn, MRR and growth in one clear dashboard
Inventory: Integrate your cost of goods sold into your cash flow forecast and determine your gross margin per product
Keep your data up to date and update your forecast in real-time in the long and short term

Moniter uses live data to calculate your cash flow in real-time. In Monitr, you can use 3 options to ensure that your grades stay up to date.

A link to your accounting, two, a live connection to your operational data and tools and finally three budget modules to realistically adjust your data in the short term.

Other features
Real-time forecasting (simulate the evolution of your cash flow over time in real time)
What-if scenarios (simulate the impact of strategic decisions on your cash flow in real-time)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, posuere nibh lorem enim ut nam imperdiet. Urna, in diam vulputate tristique non ante.

Budget modules (calculate your cash flow automatically and compile your budget in just a few clicks)

If you use a spreadsheet, you are often dependent on manually importing and matching CSV files. In contrast to a spreadsheet, this happens automatically in Monitr.

Analytical data (filter, pivot and include analytical data in your reporting)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Spreadsheet compatible (Upload or export budgets from a spreadsheet)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Multi Currency (Convert your numbers into different exchange rates)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Spreadsheets
Monitr
Belangrijkste voordelen
Simuleer je cash flow via een interactief dashboard en visualiseer je resultaat in real-time
Connecteer met je boekhouding en klik door van helicopter view naar factuurniveau

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, posuere nibh lorem enim ut nam imperdiet. Urna, in diam vulputate tristique non ante.

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, posuere nibh lorem enim ut nam imperdiet. Urna, in diam vulputate tristique non ante.

Combineer al je financiële data in één platform en maak gebruik van aangepast dashboards

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, posuere nibh lorem enim ut nam imperdiet. Urna, in diam vulputate tristique non ante.

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, posuere nibh lorem enim ut nam imperdiet. Urna, in diam vulputate tristique non ante.

Gebruik een resultatenrekening, balans & cash flow statement. Filter, pivoteer en klik door

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, posuere nibh lorem enim ut nam imperdiet. Urna, in diam vulputate tristique non ante.

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, posuere nibh lorem enim ut nam imperdiet. Urna, in diam vulputate tristique non ante.

Creëer een rapporteringsstructuur op maat van je bedrijf via een drag en drop builder

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, posuere nibh lorem enim ut nam imperdiet. Urna, in diam vulputate tristique non ante.

Stel in enkele klikken je cash flow forecast op met budget modules

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, posuere nibh lorem enim ut nam imperdiet. Urna, in diam vulputate tristique non ante.

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, posuere nibh lorem enim ut nam imperdiet. Urna, in diam vulputate tristique non ante.

Hou je data up-to-date en werk je forecast in real-time bij op lange en korte termijn

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, posuere nibh lorem enim ut nam imperdiet. Urna, in diam vulputate tristique non ante.

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, posuere nibh lorem enim ut nam imperdiet. Urna, in diam vulputate tristique non ante.

Live data
Keep your data up to date and update your forecast in real time in the long and short term
Integrate your staff costs and automatically split them into your cash flow forecast

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Integrate your open customers and suppliers with your cash flow

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Integrate your VAT with your cash flow forecast

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Integrate your subscription management with your cash flow forecast

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Integrate your project planning with your cash flow forecast

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Integrate your CRM pipeline with your cash flow forecast

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Reporting and insights
Interactive dashboard (Get insight into your budget performance at a glance)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

In-depth reporting (Income statement, balance sheet & cash flow statement with drill down)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Budget actuals overview (Compare performance vs. budget)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Forecasting overview (Compare your future forecast VS your initial budget)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Balance forecast (Compare your performance and forecast your balance)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Delta overview (Compare the differences between your current performance and your initial budget)
Scenario planning (simulate the impact of strategic decisions on your cash flow)
Use analytic data (filter, pivot and segment by departments, locations, projects,...)
Consolidation (Easily consolidate multiple entities into one platform)
Multi-currency (Convert your numbers into different exchange rates)
Cash flow forecasting
Calculating cash flow forecast
Manual input and manual formulas
Budget modules & live integrations
Data matching
Manual matching with formulas

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Automatically

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Budget structure
Manual connection between different CSV files
Budget builder and step-by-step configuration

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Methodology
Moment recording - often figures drawn from the past

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Bottom up forecasting with live data

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Reliability
More error-prone due to manual formulas & manual matching

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Less error-sensitive, thanks to automatic matching, no manual action required
Accuracy
Manual adjustment through CSV imports and a narrower data range through matching
Real-time short-term adjustment, based on integrations & budget modules
Interactive dashboards
Drill-down navigation: Get a detailed insight into your finances. Use drill downs, analytical data, etc

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Key metrics dashboard: (See budget performance at a glance)
Staff costs: (View and simulate the total cost of your staff in one screen)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Outstanding customers & suppliers: (Get an overview of all outstanding invoices and payments)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Project income: (View billability per employee and compare your current schedule with respect to your maximum capacity)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Recurring revenue: (Track your churn, MRR and growth in one clear dashboard)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Inventory: (Integrate your cost of goods sold into your cashflow forecast and determine your gross margin per product)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Other features
Real-time forecasting (simulate the evolution of your cash flow over time in real time)
What-if scenarios (simulate the impact of strategic decisions on your cash flow in real-time)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Budget modules (calculate your cash flow automatically and compile your budget in just a few clicks)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Analytical data (filter, pivot and include analytical data in your reporting)

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Nunc lectus adipiscing pellentesque egestas tortor. Nunc, pose nibh lorem denim ut nam imperditi. Urna, in diam vulputate tristique non ante.

Spreadsheet compatible (Upload or export budgets from a spreadsheet)
Multi-currency (Convert your numbers into different exchange rates)

Verken de mogelijkheden van cash flow forecasting voor je bedrijf

USE CASES

Cash flow forecasting op maat van je sector

Onze software is er niet voor iedereen - en net dat maakt ze zo sterk. Door te focussen op specifieke sectoren wordt Monitr steeds beter.

Maarten Smulders

CEO - Get Monkeys

Klant sinds NOVEMBER 2021

🏆 Winnaar Exact Cloud Award 2018 - 2019

Aushim Koumar

CEO - Konligo

KLANT SINDS OKTOBER 2022

Valeri Potchekailov

CEO - Storychief

KLANT SINDS JUNI 2020

Jef van den Branden

CEO - De Ondernemers fabriek

KLANT SINDS JANUARI 2022

CFO & Accountants

Cash flow forecasting is vaak te complex en te kostenintensief. Het enige alternatief zijn spreadsheets, die tijdrovend en foutgevoelig zijn. Met Monitr bouwen we een cash flow forecast voor meerdere klanten in enkele minuten. Een hele vooruitgang.

Retail- / E-commerce

Monitor helpt mij om een duidelijk overzicht te behouden over enerzijds mijn cashflow en P&L forecast en anderzijds wat nu in de boekhouding staat. Op deze manier kunnen we eenvoudig scenario's in real-time vergelijken en verschillende pipelines benchmarken met hun eigen specificiteit.

Aushim Koumar - CEO Konligo

SaaS (Software as a Service)

Dankzij Monitr kan ik 10x sneller beslissingen nemen en de impact simuleren op onze cash balans. Ik weet precies wanneer ik nieuwe mensen moet aanwerven, welke profielen en wanneer. Het feit dat ik voor mijn runway over accurate en up-to-date cijfers bezit, maakt dit process veel makkelijker.

Valeri Potchekailov - CEO StoryChief

Agencies / Consulting

Monitr geeft een sterk visueel inzicht in onze cijfers en biedt de kans om onze forecast voor de komende jaren snel af te toetsen aan de realiteit. Dankzij het overzichtelijk dashboard weten we meteen waar we staan.

Jef Van den Branden - De ondernemersfabriek

Even van gedachten wisselen?

Verken vrijblijvend de mogelijkheden van cash flow forecasting voor je bedrijf. Praat rechtstreeks met een cash flow expert. Plan een moment in en:

Maak kennis met cash flow forecasting in slechts 15 min

Praat met een CFO of gecertificeerd cash flow expert

Verken de mogelijkheden voor je bedrijf

Krijg een antwoord op al je vragen

Centraliseer je data

Real-time cash flow forecasting

Real-time cashflow forecasting

Met Monitr centraliseer je eenvoudig je financiële data in één platform. Werk je cashflow forecast automatisch bij, volg je cijfers op de voet via interactieve dashboards en simuleer de evolutie van je cashflow in real-time.

Uitgebreide financiële rapportering

Monitor helpt je om een duidelijk overzicht te behouden over enerzijds mijn cashflow en P&L forecast en anderzijds wat nu in de boekhouding staat. Op deze manier kunnen we eenvoudig scenario's in real-time vergelijken en verschillende pipelines benchmarken met hun eigen specificiteit.

Maak gebruik van sector templates

Monitr laat je toe om je financiële rapportering te personaliseren op maat van je bedrijf. Importeer een rapporteringsstructuur uit je boekhouding, maak gebruik van BE GAAP & RGS of personaliseer je rapporteringsstructuur op maat van je bedrijf.

Plan voor de toekomst

Cashflow planning

Simuleer je cash positie met scenario's

Met Monitr centraliseer je eenvoudig je financiële data in één platform. Werk je cashflow forecast automatisch bij, volg je cijfers op de voet via interactieve dashboards en simuleer de evolutie van je cashflow in real-time.

Stel in real-time je budget samen

Monitor helpt je om een duidelijk overzicht te behouden over enerzijds mijn cashflow en P&L forecast en anderzijds wat nu in de boekhouding staat. Op deze manier kunnen we eenvoudig scenario's in real-time vergelijken en verschillende pipelines benchmarken met hun eigen specificiteit.

Rapporteer je cijfers

Financiële rapportering

Balans, Resultatenrekening & cash flow statement

Met Monitr centraliseer je eenvoudig je financiële data in één platform. Werk je cashflow forecast automatisch bij, volg je cijfers op de voet via interactieve dashboards en simuleer de evolutie van je cashflow in real-time.

Klik door van helikopter overzicht top op factuur niveau

Monitor helpt je om een duidelijk overzicht te behouden over enerzijds mijn cashflow en P&L forecast en anderzijds wat nu in de boekhouding staat. Op deze manier kunnen we eenvoudig scenario's in real-time vergelijken en verschillende pipelines benchmarken met hun eigen specificiteit.

Personaliseer je rapporteringstructuur op maat van je bedrijf

Monitr laat je toe om je financiële rapportering te personaliseren op maat van je bedrijf. Importeer een rapporteringsstructuur uit je boekhouding, maak gebruik van BE GAAP & RGS of personaliseer je rapporteringsstructuur op maat van je bedrijf.