Advanced treasury forecasting

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Generate accurate cash forecasts

Use sophisticated AI technology to generate relevant insights from historical data, projected data from sales and delivery systems, market data (i.e. stock prices. currency fluctuations), political and economic shifts, and situational or staffing changes within the organization. Quickly and easily build accurate, nuanced cash forecasts that bring real insight to your company’s financial planning strategy.

With Datalog, you can:

Forecast your company’s cash flow and liquidity, quickly and accurately

Provide strategic insight to the CFO, management and shareholders

Make informed recommendations on financial strategy

Ensure there is always enough cash available to support group operations and future plans for growth

Ready to revolutionize your TMS?

Contact us for a demo today and experience the Datalog difference.

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Our Resources

Explore a range of resources and documentation we’ve assembled to help you modernize your treasury.