With Invest for Excel® you model all cash flow-effective measures and events in business activity planning. The goal is to get a general view of the financial consequences of a plan. Usually a company has several implementation alternatives. With Invest for Excel®, those alternatives are easy to compare. The software also supports a follow-up of a plan.
The calculation process in budgeting is in principle the same as in business activity planning, but the target is different and the time window is usually 12 months. Invest for Excel® can be used for both long and short intervals, which makes practical work easier.