Forecast, model scenarios, and generate financial reports from one connected platform. Built for modern finance teams that want clarity and speed.
Forecasting, scenarios, reporting, and AI analysis connected, so a change in one number flows through everything.
Revenue, headcount, cost, P&L, balance sheet, and cash flow all live inside a single connected structure. Change one assumption: hiring timeline, price per unit, payment terms. Every downstream number updates instantly. No pivot tables. No broken links.

The board pack is generated from the same model you use every day, not assembled the night before by copy-pasting from three different files. Variance analysis is automatic. You spend your time on the commentary, not the construction.

The AI copilot is trained on your uploaded financials, forecasts, and assumptions. Ask it what's driving the margin decline, what happens if headcount grows 20%, or where the cash gap is coming from. It gives you a direct answer using your data, not a generic template.

Define Base, Upside, and Downside cases with different assumptions across revenue, costs, and headcount. Run them in parallel and compare the full cash flow impact side by side, without touching a spreadsheet.

Akili Edge helps fast-moving teams make financial decisions before the opportunity window closes.
You're running a real finance function with limited headcount. Akili Edge gives you a forecasting and reporting infrastructure that doesn't require an analyst to maintain and doesn't break every time an assumption changes.
You need to make hiring, growth, and capital decisions quickly. Akili Edge means you're not waiting two days for finance to model the answer and you're not making the call without the numbers.
Actuals from your existing system feed directly into the forecast. Variance analysis is automatic. You spend your time on what's causing the number to move, not on producing the number itself.
Upload your existing Excel model or connect your accounting software directly. We map it to our system so you don't rebuild from zero.
Define your revenue drivers, cost lines, and headcount plan. The P&L, balance sheet, and cash flow update together as a single model.
Switch between Base, Upside, and Downside. Change one assumption and see the full downstream impact across all three statements instantly.
Generate P&L, balance sheet, and cash flow reports with actuals vs forecast variance. Board pack ready in minutes.
Book a 30-minute session. We'll walk through the platform using your actual business assumptions.