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Dryrun's Latest Updates: Cash Flow Forecasting, Simplified and Supercharged!
Dryrun Updates

Dryrun's Latest Updates: Cash Flow Forecasting, Simplified and Supercharged!

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Dryrun's Latest Updates: Cash Flow Forecasting, Simplified and Supercharged!
Dryrun Updates

Dryrun's Latest Updates: Cash Flow Forecasting, Simplified and Supercharged!

Exciting news! The newest upgrades in Dryrun are like a breath of fresh air for anyone keeping an eye on their cash flow. We've worked some magic to make managing and forecasting your finances way simpler and super user-friendly.

Setting up your accounting files used to be a bit of a puzzle, but not anymore. We've given it a makeover, making the whole process a breeze. And that's not all – Dryrun is now even more efficient, so you can spend less time worrying about your finances and more time doing what you love.

Imagine a world where handling your money is as easy as pie. Well, with the latest Dryrun updates, that's exactly what we're aiming for. Whether you're a finance pro, a business owner, or just getting started, we believe that managing and forecasting your cash flow shouldn't feel like rocket science, and should definitely take you a lot less time than managing a spreadsheet. 

Here are the remarkable new features that we have rolled out: 

1. New and Improved Import Wizard 

Include and sort your Chart of Accounts with ease, ensuring you see your data the way YOU want. We have said goodbye to the headache of missing data, as our enhanced verification tied to your Profit and Loss and Cash Flow Statements for transactional data, and your Balance Sheet for your balances, ensure that the data you see in Dryrun is 100% accurate.

2. Powerful Auto-Forecast Options

Select which type of Auto Forecast option works best for each of Dryrun’s sections. Whether it is income or expenses, you have the options to map to last year, an average of last year, to the most recent reconciled month, or manually enter your forecasts. Build your entire baseline forecasts in seconds… not the hours it would take you to do it on a spreadsheet!

3. Inclusion of Financing and Investing Activities

Now, you can accurately account for financing and investing activities that impact your cash flow, providing a whole-istic view of your financial health. Whether it is debt repayments, capital expenditures, or even loans, we now account for these totals as well. 

4. Increased Customization of Forecasts vs Actuals 

Did you know that with our Auto Forecast, you now have visibility into your Forecast vs Actuals, even in the past? You can also tailor your forecasts to meet your specific needs with an array of new customization options that will give you unmatched flexibility. 

5. Easier to Manage and Lighting-fast! 

A dedicated section for open and overdue invoices and bills to make it simpler than ever to manage your cash flow. Also, no more lagging due to too much data, all without losing the ability to view as much detail as you need. You have full control over the amount of data you want to see in your forecast! 

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We truly believe that these enhancements will elevate your experience with Dryrun, and make it a lot easier to manage and forecast your (or your client’s) cash flow. We're all about making your life easier, one update at a time.

If you would like to learn more about these features or see them in action, book some time with our team - we are here to guide you!

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Forecast Your Cash Flow, Revenue and Profit in the Ultimate Scenario-Modelling Tool to gain confidence, clarity and insight into your business.

Dryrun ties automation with unmatched flexibility delivering clear, powerful and accurate forecasts in a fraction of the time spent in spreadsheets.

Dryrun - A better way to run the numbers.

See if Dryrun is a fit for you.