Smart Budgeting Solutions With Budget Maestro By Centage
Budget Maestro by Centage is an easy-to-use, scalable, automated budgeting and forecasting application for small to mid-market companies that transforms how you budget, forecast, analyze and report. It’s Budgeting Redefined. Budget Maestro serves more than 9,000 users worldwide.
With unique, built-in accounting rules and formula-free calculations, this next generation, SmartBudgeting™ solution goes far beyond the capabilities of Excel, offering organizations like yours a more reliable way to budget and plan. With Budget Maestro, you can very quickly and easily build your budget–a budget that’s created using a built-in, forward-looking G/L based on pre-programmed financial logic and accounting rules. No programming. No formulas. It calculates your budget in the same way your G/L generates your financials, by budgeting at the activity level, in the right periods and in the correct amounts. With direct integration to your accounting system’s actual G/L, this “budget” G/L functions identically, which means you don’t have to worry about formulas or calculations, and, even better, your chart of accounts is enforced, so you’ll create more accurate models and forecasted reports such as balance sheets and cash flow statements. They’re automatic and accurate every time.
And the sky’s the limit–Budget Maestro’s intuitive and powerful modeling capability allows for infinite what-if scenario planning and handles expense detail, revenue recognition, workforce planning, and capital assets. All without IT support or ongoing custom programming. Budget Maestro is a powerful solution for the finance team, an easy-to-use tool for budget contributors and a critical resource for decision-makers throughout any organization. Its extensive capabilities offer significant time savings, deeper insight into your financial operations and total confidence in the accuracy of your results.
Budget Maestro Features
Budget Maestro is the only solution on the market that offers synchronized P&L, balance sheet and cash flow reporting that generates automatically and updates seamlessly. It features built-in financial and business logic that allows users to create and update their budgets and forecasts and never worry about formulas, functions, links or any custom programming.
- Build a complete and accurate budget–in days, not weeks
- Perform dynamic and infinite what-if scenarios, changing your model instantly, without coding or programming
- Automatically generate an accurate forecasted balance sheet and cash flow statement based on any model or assumption
- Define drivers, spread methods and mass assumptions for any model scenario
- Customize financial dashboards with drill-down and slice-and-dice analysis capabilities for greater data discovery that’s easy to share
- Integrate seamlessly with your G/L to promote data integrity and ease budget vs. actual analysis