What Core brings to your team
The question changes.
The model keeps up.
Your structures and conventions become reusable financial logic. Compare a new case and carry the results into your portfolio, with Excel available for review.
A new question. The same financial foundation.
Change the assumptions that matter and follow their impact through cash flow, debt coverage and valuation. Core recalculates the connected model using your configured logic, so the next scenario builds on work your team has already reviewed.
Change
Revenue, costs, timing or financing
Calculate
Connected cash flows and financial schedules
Compare
Base case and alternative scenarios
Evaluate
Valuation, returns and debt coverage
Explore the effect of each assumption using the financial logic configured for your model.
Confidence in the numbers behind the decision.
Apply consistent financial logic across scenarios, trace results to their assumptions and surface inconsistencies through model checks. Less manual copying reduces opportunities for error and gives reviewers a clearer path through the numbers.
Repeatable logic
Apply the same financial rules to each scenario
Connected inputs
Reduce manual re-entry between model and outputs
Traceable results
Follow outputs back to schedules and assumptions
Checks and reference comparisons help your team investigate differences before relying on the results.
Carry your expertise into the next piece of work.
Keep financial conventions, checks and reporting workflows in Core as assumptions and asset data change. Reuse that foundation across recurring updates and portfolio reviews, giving your team more capacity for analysis and the next investment decision.
Model updates
Reuse financial logic as assumptions change
Portfolio reviews
Bring asset forecasts into a consistent view
Scenario analysis
Build on the configured model for each new question
Reporting cycles
Produce agreed outputs from connected inputs
One configured workflow to support the next update, review and reporting cycle.
Work in Core. Share the outputs your team needs.
Core holds the configured financial logic and connects inputs, scenarios and results. Export models to Excel so your team and advisers can inspect the workings and share the analysis alongside the reporting views agreed with your team.
Working model
Agreed inputs, scenarios and results
Excel exports
Model workings for review and sharing
Recurring reporting
Configured forecasts and reporting views
Formats, access and update responsibilities are agreed with your team.