Our proprietary program will give each user the capability to see the entire financial landscape of any new product launch BEFORE commercialization activities commence. The ability to do a 'deep-dive' before investing capital resources will give tremendous support to maximizing your success.
Our program uses many of the common, but not fully understood or appreciated, costs associated with retail distribution and the hurdles that can delay or inhibit your success.
Our TOOL embraces the principles of budgetary accounting and will greatly enhance your ability to manage cash flow, activity spending, inventory, sales and the relationships between all these factors as it pertains to your new product launch.
Use our Tool to will help expand your 'new product mindset' and impact your approach to current and future successful new product endeavors.
In the Product Input section simply fill-in the yellow blanks with the required information. The tool will automatically calculate and prodvide a detailed view of your product P&L. This section includes a Scenario Analyzer to conduct 'what-if' analysis.
Look at Retailers by Trade Class and adjust their sales volume expectations to get the complete financial picture.
The Summary Sheet is a one-pager that encompasses your entire New Product P&L. This is a gresat tool for plannign but also for sharing with your board members and potential investors.
This is a general look at the Cash Flow timing based on the information you've provided and the established retail industry practices. Understanding the full financial impact required to support your New Product launch will add greatly to your success!