Learn how finance teams manage debt to increase revenue.
The story doesn't end after funding.

The story doesn't end after funding.
Quickly identify flagged cash flow issues and forecast scenarios to model out any future issues related to debt repayment.
Build strategies based on your forecasted scenarios and execute them with the help of the Capital Allocator dashboard.
Automatically sync your financial data in real-time and easily integrate with your lenders for a comprehensive view of your debt and expenses.
Use advanced analytics and reporting to make data-driven decisions about your debt and cash flow.
User-friendly interface and powerful insights.
The Capital Forecaster dashboard is designed to help you proactively manage cash flow and debt repayment by identifying flagged cash flow issues. With its real-time data syncing and advanced analytics, you can quickly identify potential issues and take proactive measures to avoid them. The dashboard provides a comprehensive view of your cash balance, monthly revenue, and expenses, as well as runway, allowing you to make data-driven decisions about your debt and cash flow.
The Capital Forecaster dashboard's Strategy Builder is a powerful tool that allows you to create and execute strategies to improve your financial situation. By forecasting scenarios, identifying flagged cash flow issues, and analyzing your financial data, you can build strategies that will help you meet your debt obligations, reduce expenses, and improve your return on investment. The Strategy Builder is easy to use and it's intuitive interface allows you to quickly create and edit strategies, and see the impact of your decisions on your cash flow and debt repayment. With the Strategy Builder, you can make better financial decisions, manage debt more effectively, and stay compliant with loan terms.
Click on the link above and follow the instructions provided to schedule a demo. This may involve providing your contact information, choosing a date and time for the demo, and potentially providing information on your specific needs and goals.
A FundStory representative conducting the demo will provide an overview of the product and its features, highlighting key benefits and capabilities. This may include a demonstration of how the product works and how it can be used to solve specific problems or meet specific needs.
Overall, the goal of a live demo is to provide potential customers with a better understanding of the product and its capabilities, as well as to help them determine whether it is a good fit for their needs and goals.
The Capital Forecaster dashboard is a tool within FundStory's treasury management platform that helps CFOs and finance teams proactively manage cash flow and debt repayment by identifying flagged cash flow issues, forecasting scenarios and building strategies. This dashboard provides the ability to make data-driven decisions about debt and cash flow with the help of advanced analytics and reporting.
The Capital Forecaster dashboard allows you to quickly identify flagged cash flow issues and forecast scenarios to model out any future issues related to debt repayment. You can use the built-in strategy builder to create and execute strategies to improve your financial situation. Additionally, the dashboard provides advanced analytics and reporting capabilities to help you make data-driven decisions about your debt and cash flow.