Microsoft Excel is often seen as a best friend and our worst enemy! Find out how Vena allows you to transform and embrace Excel.
Successful recovery from the impact of Covid-19 requires forward visibility of your financial position.
We show you how to implement changes to a model to reflect this and how reforecasting could reduce your tax bill.
Cash is King and a key purpose for financial modelling is to forecast your cash position.
Many companies find this difficult, but we reveal the secrets here of how to build a reliable cash forecast.