Analyze cash flow, catch anomalous expenses, and generate 12-month financial forecasts — straight from your Excel spreadsheets.
90%
Less time on reports
12m
Forecasts ahead
0
Python/SQL knowledge
The problem
Consolidating data from multiple sheets for a monthly report is hours of manual work.
Excel models for cash-flow forecasting are brittle and miss seasonality automatically.
An unusual expense gets lost in hundreds of rows, and nobody catches it until it's too late.
The solution
Ask 'generate a summary of Q3 income and expenses' and get a structured report with comparisons.
iaExcel flags transactions outside the historical pattern automatically.
SARIMA and Prophet models that detect seasonality and generate forecasts with confidence bands.
Live demo
This is a real conversation with iaExcel. Unedited, unscripted. Just an Excel file and a question in plain English.
How it works
Load your Excel with revenue, expenses, accounts, and periods.
balance_2025.xlsxFrom profitability analysis to 12-month cash-flow forecasts.
What's the projected cash flow for next quarter?Download a formatted report ready for the board or your accountants.
Report ready in 2.1sAvailable on Premium plans. Try Chat for free.