A fully integrated approach to forecasting and managing your short-term cash flow.
Unwind your accounts receivable and accounts payable balances
Manage your workflow
Scale up or scale down
Understand how specific actions to improve your working capital will impact your cash flow
Keep a record of history
Measure short- and long-term forecast accuracy
Imagine the power of 180,000 people with a common purpose—building relationships that create value for you and your business. This is PwC. Every day, our people work with you to build the value you are looking for. Our specialist financial and performance management teams optimize the use of Anaplan to align planning, consolidation, reporting, and analytics processes, systems, and information to provide business insights that drive better decisions and actions.