Revise EPM application

Revise EPM (Enterprise Performance Management) is a financial planning and reporting application that provides up-to-date information on business performance, trends, profitability and cash flow. Explicitly guided processes make accessing information quick and effortless, and the cloud platform enables access anytime, from anywhere.

Cash management and realistic forecasting are conducted using the application’s 12 weeks’ rolling forecast, which at the moment is not available in any other software suite. Week-level forecast provides efficient cash management, enabling timely reactions needed to make the changes necessary for achieving business goals.

The application’s reporting packages provide all the necessary information for Board of Directors, stakeholder reporting and day-to-day operative decision making. You are also able to build your own reports.

The application contains, in addition to profit and loss, balance sheet and financial statement reports, profit forecast by cost center and largely automatically generated balance sheet forecast.

Revise EPM is a modern intelligent solution that can be easily integrated into your management system.

If you are interested to hear more, book a free demo!

Easy to use
Implemented quickly
Low cost


With Revise EPM, you can easily and quickly produce all the reports you need for actuals, budgets, forecasts, and all wanted comparisons.


Budgeting is part of the business plan and it can take a lot of time to prepare it. With Revise EPM, budgeting is flexible and time-saving process.

Sales forecast

All business is based on profitable sales. A well prepared, realistic sales forecast gives guidelines for other operational activity (purchases, manufacturing, delivery, finance, etc.).

Cash flow forecast

Cashflow forecast is one of the most important tools for measuring success and profitability. The cashflow forecast provides a good insight into the company’s future cashflow.

Profit forecast

The profit forecast provides a view of the company’s future revenue, costs, margins and profitability.

Balance sheet forecast

The balance sheet forecast provides a continuous, reliable view of the company’s balance sheet and it’s future prospects for the selected period (stock, receivables, self-sufficiency, etc.).


When necessary, consulting is available to help activate the forecasting process in the organization. We recommend short consulting especially when the forecasting has not been systematically conducted previously.

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