Automatically forecast P&L, balance sheet, and cash flow.
For every entity. Every month. With a full audit trail.
Konsolidator has empowered hundreds of groups with standardized consolidation and is adaptable to groups of any size or industry.
Define clear forecasting logic and apply it across your group accounts to instantly generate P&L, balance sheet, and cash-flow forecasts for every entity.
Adjust the budget using real business drivers, then consolidate and track performance against actuals automatically.
Avoid missed investments and liquidity surprises.
Spend less time maintaining models. Gain greater confidence in your numbers. Plan faster, with clarity and ease of explanation.
Rule-based forecasting
Connected accounts
Algorithm-based budgeting
Group-level rule management
Scenario & sensitivity analysis
Most companies spend months building budgets… but barely track them.
The result?
Late surprises, missed opportunities, and decisions made too late.
Our FP&A tool makes continuous forecasting and performance tracking simple.
In just minutes each month, you gain full visibility into variances, performance, and direction.
So you can lead the business. Not just react to it.
Its easy to get started. Implementation takes 1.5 hours. That’s it.
Its a two-step setup and you are ready to start forecasting.
Your can go live the same day. Even for large groups.
No heavy onboarding
No long rollout
No technical complexity
The FP&A module is an add-on to the Konsolidator subscription tiers.
Don't worry, the onboarding's on us.
Please fill out the form, and we'll get back to you as soon as possible.