Once you are in Dryrun, we walk you through the “Peralta Industries.” Forecast template. Our goal is to help you visualize changes in financial data quickly and allow you to see how different actions affect your cash flow. Try adding some Recurring items to your monthly budget or plugging receivables into the Invoices section to gauge how these decisions affect your bottom line. Clone the scenario by hovering and manipulate data for different outcomes - it's what Dryrun was built for!
Or start with a fresh new Forecast by clicking on Forecasts at the upper right hand side of the page and then choose New Forecast located just on the top right hand side of the screen!
From there the sky is the limit to what you can achieve with Dryrun!
Happy forecasting! Enjoy your cash flow journey! If you ever have any questions, reach out to us at email@example.com!