Rolling cash-flow forecasting and liquidity planning built on your Business Central AR/AP and bank data — a per-tenant AL extension built, installed and supported by ECOSIRE. One-time license from $299.00 USD for Dynamics 365 BC (build-to-order) — includes 12 months of updates and support.

Rolling cash-flow forecasting and liquidity planning built on your Business Central AR/AP and bank data — a per-tenant AL extension built, installed and supported by ECOSIRE.
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Business Central ships a Cash Flow Forecast feature, but most finance teams outgrow it fast: it is largely manual, single-scenario, weak on multi-currency liquidity, and hard to reconcile against what actually happened. This is a build-to-order extension that replaces guesswork with a living, rolling forecast wired directly into your own BC tenant.
Rolling cash-flow forecast on a daily, weekly and monthly horizon, recalculated automatically via a Business Central job queue entry
Direct integration with Customer Ledger Entries (AR) and Vendor Ledger Entries (AP) for receipt and payment timing based on due dates and payment terms
Live opening liquidity pulled from Bank Account Ledger Entries across all bank accounts
Scenario and what-if modelling — adjust DSO/DPO, delay a payment run, model capex, loan draws or one-off receipts without touching live data
Multi-currency liquidity view presented in your reporting currency using BC exchange-rate logic
Forecast-vs-actual variance reporting so each period's model is tuned against what really posted
ECOSIRE builds the app in AL as a per-tenant extension (not a generic AppSource download). We model your forecast logic against the data you already have: open Customer Ledger Entries and Vendor Ledger Entries for AR/AP timing, Bank Account Ledger Entries for opening liquidity, and recurring commitments you define. Table and page extensions surface a rolling daily/weekly/monthly horizon; event subscribers keep projections fresh as documents post; and a job queue entry recalculates on your schedule.
Because it lives inside Business Central, the forecast respects your permission sets, dimensions and currencies. Multi-currency balances are presented in your reporting currency with the exchange logic you operate under. Scenario and what-if levers (delay a vendor run, stretch DSO, model a capex or a loan draw) let the CFO test liquidity before committing. A forecast-vs-actual view closes the loop so the model gets sharper each period.
We can expose forecast data via the BC REST/OData API for Power BI, or push it to Dataverse for Power Platform reporting. After build, ECOSIRE installs the extension on your sandbox, validates against real ledgers, deploys to production, and supports it on an agreed plan. Honest lead time, real ownership, no black box.
Needs a reliable forward view of cash 13 weeks and beyond, with scenarios to defend funding and spending decisions to the board — without exporting BC to spreadsheets every Monday.
Manages liquidity across multiple bank accounts and currencies and wants a consolidated reporting-currency view of available cash and upcoming commitments straight from the ledgers.
Owns the day-to-day numbers, reconciles forecast against actuals, and wants forecasting embedded in Business Central with permission control rather than a fragile external model.
Lisansı ecosire.com adresinden satın alın ve hesap kontrol panelinizden Cash Flow Forecasting & Liquidity for Business Central modülünün ZIP dosyasını indirin.
ZIP'i sunucudaki Odoo özel eklentiler klasörünüze çıkarın (veya Uygulamalar > Odoo.sh / runbot'taki dosyadan yükle yoluyla yükleyin).
Geliştirici Modunu etkinleştirin, Uygulamalar'ı açın, Uygulama Listesini Güncelle'ye tıklayın, Cash Flow Forecasting & Liquidity for Business Central'i arayın ve Yükle'ye basın.
Yeni menüyü açın, ECOSIRE lisans anahtarınızı yapıştırın, tüm harici kimlik bilgilerini (Shopify, Amazon, Stripe vb.) bağlayın ve kaydedin.
Yerleşik bağlantı testini çalıştırın, ilk 10 kaydınızı senkronize edin ve yinelenen cronu planlayın. Herhangi bir sorun olursa desteğe başvurun.
| Kriter | ECOSIRE | Özel Yapı | Rakip | Odoo Yerlisi |
|---|---|---|---|---|
| Rolling daily/weekly/monthly forecast auto-recalculated via job queue | ||||
| Scenario and what-if liquidity modelling without touching live data | ||||
| Consolidated multi-currency liquidity in reporting currency | ||||
| Forecast-vs-actual variance reporting | ||||
| Built, installed per-tenant and supported on your own BC environment | ||||
| Tailored to your AR/AP terms, dimensions and permission sets | ||||
| Power BI / Dataverse exposure via BC REST/OData API | ||||
| You receive and own the AL source code |
No — this is build-to-order, not an instant AppSource install. ECOSIRE builds the extension in AL for your specific tenant. Typical lead time is about 3 to 5 weeks depending on the complexity of your AR/AP terms, multi-currency setup and reporting requirements. We confirm a firm schedule after a short scoping call, build and test on your sandbox, then deploy to production once you sign off.
We install it as a per-tenant extension (a private .app published to your environment), not a shared AppSource listing. ECOSIRE publishes and installs it on your sandbox first, validates the forecast against your live Customer, Vendor and Bank ledger entries, then deploys the same extension to production. It runs entirely inside your tenant under your own permission sets.
Business Central ships monthly minor and twice-yearly major updates. Under an agreed support plan, ECOSIRE keeps the extension compatible across those releases, tests against each major upgrade on your sandbox before it reaches production, and handles fixes and small enhancements. You always hold the source, so you are never locked to us.
Yes. We can expose forecast and liquidity data through the Business Central REST/OData API for direct Power BI consumption, and optionally sync it to a Dataverse table so Power Apps and Power Automate flows can build on it. The integration is scoped during the build to match how your team already reports.
The native feature exists but is largely manual, single-scenario, and limited on multi-currency liquidity and variance analysis. This extension automates the rolling horizon from your ledgers, adds what-if scenarios, presents a consolidated multi-currency liquidity view in your reporting currency, and reconciles forecast against actuals each period — all inside BC and under your permissions.
Rolling cash-flow forecasting and liquidity planning built on your Business Central AR/AP and bank data — a per-tenant AL extension built, installed and supported by ECOSIRE.