Priora® Business 5.5
An Excel based cash flow budgeting and management system designed to improve the performance of your business. It includes multiple detail data tracking, calculates the break-even point and it budgets and manages the cash flow of the company. Excel 2003 or later version on PC or MAC is recommended.
Features include:
- A cash flow management system that determines the break-even point for your business
- A comprehensive term debt management system with debt consolidation.
- An accounts receivable management system.
- A column that measures the variances of budget to actual for each month and year-to-date during the year.
- A cash position that reconciles to the cash in the bank.
- Thirteen charts to illustrate the data.
- Five financial ratios are automatically calculated.
- Five electronic personal financial statements.
- Working capital line of credit management.
- Five year summary
Benefits include:
- Manage profitability with break-even analysis.
- An excellent outline to build an effective business plan for the next year
- Make more informed decisions to improve the performance of your business
- Improved understanding of your business cash cycle
- Stronger banking relationship
- Reconciles the cash of the business to the cash in the bank monthly
- Build increased net worth in the business
- More options when negotiating
- Compete more effectively with lower costs
- Retain Skilled employees
- Increased value when selling the business
- Follow the trends of your business using the 5 - Year Summary
- Peace of mind
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