Cash Flow Forecasting with Sage Intacct

Put your Sage Intacct data to work in Dryrun. Build fast, accurate cash flow forecasts and run powerful scenario modeling—delivering clarity far beyond spreadsheets.

Why Finance Teams Choose Dryrun for Cash Flow Forecasting with Sage Intacct

Sage Intacct is a leading financial management system, but its native cash flow forecasting features often fall short when businesses need flexibility and deeper insight. Many teams plug the gap with spreadsheets—yet that creates errors, endless updates, and wasted time.

Dryrun Cash Flow Forecasting Software integrates directly with Sage Intacct, giving finance leaders the speed, accuracy, and control they need. It streamlines cash flow management, simplifies collaboration, and makes scenario modeling effortless—so you always know where your business stands.

The Downside of Using Spreadsheets for Cash Flow Forecasting and Scenario Modeling

When Sage Intacct’s built-in tools don’t provide the insight you need, spreadsheets often become the fallback. But what looks like flexibility quickly turns into hidden costs: manual entry, outdated forecasts, version sprawl, and security risks.

To unlock true cash flow management, finance teams need more than spreadsheets. Dryrun Cash Flow Forecasting Software combines automation, accuracy, and scenario modeling in one platform, helping you make faster, smarter decisions.

Common Spreadsheet Roadblocks

Prone to Errors

Spreadsheets rely on manual inputs, leading to typos, broken formulas, and distorted cash flow forecasts.

Too Much Time Spent Updating

Pulling data and maintaining sheets drains hours that could be spent on proactive cash flow management.

No Real-Time Sync with Intacct

Exports become stale quickly. Without live integration, your cash flow forecast lags behind reality.

Version Confusion

Multiple spreadsheet versions create conflicting numbers and weaken trust in the forecast.

Struggles with Complexity

Scenario planning across multiple entities, volatile revenue, and shifting payment terms is overwhelming in spreadsheets.

Collaboration Gaps

Spreadsheets weren’t built for teamwork, leaving finance teams and leadership misaligned.

Security Weak Spots

Without encryption or audit trails, sensitive cash flow data is exposed to unnecessary risk.

Doesn’t Scale Well

As businesses grow, spreadsheets slow down, making accurate cash flow management even harder.

Inconsistent Reporting

Spreadsheets make it tough to generate professional, consistent cash flow forecasts leadership can rely on.

Why Dryrun Cash Flow Forecasting Software is Built for Sage Intacct

Dryrun is purpose-built to extend Sage Intacct with powerful cash flow forecasting and scenario modeling. Unlike spreadsheets or native modules, Dryrun provides a flexible, accurate, and collaborative solution that helps finance teams manage volatility and improve decision-making.

Flexible Forecasting and Cash Flow Management

Model your unique business reality with customizable forecasts—multi-entity operations, varied payment terms, seasonal cycles, and more. Dryrun adapts to your needs for more effective cash flow management.

Scenario Modeling Made Simple

Run multiple “what-if” forecasts side by side. Test best-case, worst-case, and expected outcomes in seconds to see how sales changes, payment delays, or costs impact your cash flow forecast.

Seamless Sage Intacct Integration

Dryrun connects directly to Sage Intacct, pulling live data while also supporting manual entries and spreadsheet imports. This creates a complete picture of your cash flow enriched with external factors that matter most.

Historical Insights with Auto Forecasting

Generate baseline forecasts instantly from your Sage Intacct history. Map to last year, average the last 12 months, or use recent results, then fine-tune with anomalies for more realistic cash flow forecasting.

Clear, Real-Time Reporting

Turn complex forecasts into simple visuals that update automatically. Leadership gains instant insight into the company’s cash position without wading through spreadsheets.

Easy Sharing and Alignment

Collaborate with stakeholders in real time. Share cash flow forecasts and scenarios instantly to keep teams aligned and decisions on track.

Quick Setup and Maintenance

Get started fast with minimal upkeep. Real-time syncing keeps cash flow forecasts accurate without hours of manual updates.

Sensitivity and Scenario Analysis

Adjust assumptions—payment terms, receivables, or one-off expenses—and instantly see the impact. This scenario modeling prepares CFOs to handle uncertainty with confidence.

Real-Time Accuracy

Work from live Sage Intacct data to ensure every cash flow forecast is precise, current, and reliable.

Collaboration and Accessibility

Cash flow forecasting works best when the whole team is aligned. Dryrun enables real-time collaboration, making it simple to share scenarios, compare insights, and keep everyone on the same page. With one central source of truth, you avoid version mix-ups and gain faster, more confident decisions.

Secure and Risk-Reduced

Protect sensitive financial information with enterprise-grade security. Dryrun eliminates the risks spreadsheets create, strengthening trust in your cash flow management.

The Bottom Line:

Dryrun Cash Flow Forecasting Software helps Sage Intacct users overcome the limits of spreadsheets and native tools. With automation, scenario modeling, and real-time insights, Dryrun empowers finance teams to manage cash flow with speed, accuracy, and clarity.

📅 BOOK YOUR DEMO to see how Dryrun transforms cash flow forecasting and cash flow management for Sage Intacct.

See if Dryrun is a fit for you.

data graphic