Easily create complex, long-term financial plans based on thousands of transactions. For larger companies take advantage of cost centres and scenarios for budget controlling needs; for smaller projects, use the simplified mode to build financial projections as part of business plans. Estimate impact of new projects on the balance sheet and liquidity. Prepare prospective financial statements that are better documented, traceable to assumptions and less error prone. Conveniently update and control your budgets, and calculate planning variances. Use cash accounts to manage company cash flows easily. BizController is very flexible and can be adapted to any organization's financial reporting needs. Use your regular Excel spreadsheets as an assumptions layer and let BizController find, process and consolidate the data so as to prepare financial reports across several dimensions. Users can design their own layout for reports using an advanced financial statement item line editor.