Ouptuts and analysis
You visualize, compare, analyze, but you don’t calculate anymore! You read intelligent reports as summaries, not novels!
And you make clear comparisons of simulations thanks to numerous graphical and numerical KPIs so your decisions are based on reliable and comparable data. Realistic cash-flow forecasts are one of these dimensions.
With PlanningForce, money is back to front. Ever wanted to know the real added value of a new project? Just plan it and compare the cumulative cash-flow forecasts with and without the project!
Cash-flow forecast
- Cash-flow evolution is calculated following the costs and incomes entered.
- The impact of availability, risks and efficiency is taken into account and gives a realistic cash-flow evolution diagram.
KPIs
- By default, PlanningForce gives you key performance indicators for your simulations.
- Quickly view these KPIs and get a global idea of your portfolio.
Report: scheduling
- View and report your task schedules in various formats for sharing, archiving or publishing
Report: resource usage
- View and export reports about your resources and their effective usage
Report: resource allocation
- Edit resource allocations by groups and tasks