Learn how Vena reduces budgeting, reporting, and analysis times by 50%.
Plan for anything with this free template that allows you to track and adapt to change, quickly and efficiently.
Effectively and efficiently plan for new hires and relevant headcount for a group of employees, while determining the overall effects on salaries & benefits.
Help plan for the purchase or sale of capital assets and their impacts on your team’s cash and balance sheet accounts.
Proactively handle receivables and payables, while simultaneously planning for long term or revolving debt to cover any and all cash shortfalls in a matter of minutes.
Download your free Excel template and start getting more time back in your day so you can focus on planning for tomorrow.
Try our Financial Modeling Template to model different monthly forecasting scenarios and view variances between forecasted inputs and scenario models.
Improve your operating expense forecasting. Choose from multiple planning methods, view trendlines and variances, and more.
Use this Budget vs. Actual Template to calculate and visualize variance across different timeframes and accounts.