Easy cashflow forecasting for small businesses
Calxa Express is for small businesses that need a quick way of creating accurate and reliable cashflow forecasts for months and years ahead. It helps planning for growth and preparing loan applications. The reports are easy to understand even for non-accountants.
Cashflow Forecasting Made Easy
Follow the simple steps of the Quick Start Wizard to get going and prepare cashflow forecasts in just minutes. Fine tune your projections for various ‘What If’ scenarios.
Budgets in a Flash
Create, manage and report on budgets for multiple MYOB files. Prepare budgets for up to 10 years ahead. Maintain multiple budget versions such as ‘Best Case’, ‘Worst Case’, and ‘Current Forecast’ to compare different business models. Unlike spreadsheets there is a structure to the Calxa budget; no danger of inadvertently overwriting a formula or making an error in a formula.
Reporting designed for Non-Accountants
Choose from over 50 standard templates. Use charts for visual snapshots. Run standard KPIs such as Debt Ratio, Inventory Turnover Days, Working Capital Ratio, Wages to Turnover and many more. Batch your end-of-month reports and print with one click. Export reports easily to Excel or PDF or just email reports directly from Calxa.
Calxa is suited for:
- Small businesses that want better manage cashflow and impress their bank
- Bookkeepers that want to get started with client reporting