A DYNAMIC FINANCIAL PLANNING TOOL
STEP 1: PRODUCT INFORMATION INPUT AREA
Simply fill-in the required information and the tool will automatically calculate and provide a detailed review of your product P&L. This section includes a Scenario Analyzer to conduct 'what-if' analysis.
STEP 2: RETAILER INFORMATION INPUT AREA
Forecast the business at target Retailers by Trade Class and adjust their sales volume expectations to get the complete financial picture. Budgets are created to help you plan for profit!
RESULTS: A DETAILED FINANCIAL FORECAST
The Summary Report encompasses your entire New Product Launch P&L. This is a great tool for planning and is critical for presenting to your board members, financial institutions and investors.
RESULTS: A DETAILED CASH-FLOW SUMMARY
This is a general look at the Cash Flow timing based on the information you've provided and established retail industry practices. Understanding the full financial plan investors/banks require will add greatly to your success!
CONTACT US TODAY AND LEARN HOW TO GET THIS TOOL FOR FREE!