Cash Flow Forecasting Solution
TAIGA Cash Forecast
Improve accuracy of your cash flow forecasts with a flexible and collaborative solution
Our cash forecasting solution (SaaS) is aimed on continuous improvement of your performance management. It enables to control and analyse financial flows to anticipate a company’s needs in cash accurately.
TAIGA Cash Forecast tackles every challenging aspect of cash forecasting in a corporate group as current accounts, internal payments, complexity internal organization, communication issues within the group, vast variety of financial data sources and a number of operating currencies.
TAIGA Cash Forecast in 60 seconds
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TAIGA easily adapts for the specific needs of each customer offering customizable and rapidly deployable Cloud solutions within any type of an organization.
Discover how TAIGA added value can boost the performance of your accounting and financial teams
Increase of free cash flow
WCR improvement
Release of trapped cash
Reduction of financial costs
Reduced risks of human error (typical for Excel)
Logins to TAIGA Solutions
114 avenue Charles de Gaulle
92200 Neuilly-sur-Seine
Phone: +33 1 84 17 08 85
contact@taiga-cm.com
Consolidation, reporting, cash analysis and forecasting Cloud (SaaS) solution.