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Financial Module

Financial Module

Overview

Developing pro forma statements, profit/loss sheets, cash flow analyses, and sensitivity scenarios can devour weeks of spreadsheet tinkering. The Financial Module automates these processes using your existing data and real-time market insights.

Key Steps
  1. Input Core Project Details
    Budget, Timeline, Assumptions:
    Provide the basic parameters of your project.
    Market Data Integration: The platform pulls local pricing, comparable properties, and interest rate data if needed.

  2. Generate Financial Models
    Automated Calculations:
    Our AI crafts your pro forma, P&L, and cash flow statements.
    Sensitivity Analysis: See how changes in costs, timelines, or interest rates might impact ROI.

  3. Review & Optimize
    AI Recommendations:
    The system may highlight potential cash-flow crunches or propose cost optimizations.
    Expert Adjustments: Finance professionals can further refine or confirm these analyses.

  4. Export & Share
    Multiple Formats:
    Download the resulting models in PDF or Excel.
    Integration to Presentations: All finalized financials flow seamlessly into the Project Module’s investor presentation.

  5. Why It Matters
    Accurate, data-driven financials created in minutes, not weeks.
    Confidence for both internal teams and external investors through rigorous modeling.

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