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Decide in Advance
your Performance

Decide in Advance your Performance and create Budgets, Projections and Scenarios to build objectives and forecasts based on data and expected business trends

Analyze and Plan

Calculate Actual and future Performance

Actual & Closing

Model economic and financial results to have access to the company’s historical information and performance

Budget & Variance

Use the final analyses and market trends to create your future goals and calculate, period by period, the deviations and the related management adjustments

Rolling Forecast

Project the data through the automatic processing of DataSmart to build, in a rolling version month by month, all the expected results

Financial Model

Analyze the Budget and Forecast cash flow in Business Intelligence interactive reporting suite

A solution for every manager

Build Skills and Experience with DataSmart

Consultant & CFO

Manager & Entrepreneur

Financial Analyst

«Thanks to DataSmart I have structured a extraordinary Budget and Finance Forecasting system because it allows to have the performance history with the automatic Economic and Cash Flow forecasts, month after month»

DataSmart «Actual»

Closing & Actual Analysis

Import data from balance sheets and accounting rows and build economic, equity and financial modelling values and reclassifications according to national and international rules

DataSmart «Budget»

Create your Goals

Use the special automatic processing of DataSmart One to make the most of the experience of Actual results to accelerate the Budget results to be achieved

Find out how our customers have used DataSmart

DataSmart «Forecast»

Forward-Looking

With DataSmart One algorithms you can create different projections for each account, strictly respecting the double-entry balancing of economic, equity and financial forecast