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Balance

The Balance Excel file provides a comprehensive view of financial account balances across multiple companies and banks. It is designed to support treasury operations by enhancing visibility over cash positions and improving liquidity management.

Key Metrics

  • Total Company Balances: Aggregated balances across all corporate entities.
  • Total Account Balances: Detailed view of each account’s balance by company, bank, and currency.
  • Average Daily Balance: Measures typical cash volumes across the organization.
  • Weekly Balances: Weekly snapshots of account balances to detect trends and fluctuations.

Visual Components

  • Bar Chart – Company Balance Overview: Highlights each company’s total cash holdings.
  • Table – Account-Level Detail: Drill-down into specific accounts, with columns for currency, date, and balance.
  • Line Chart – Weekly Balance Trends: Displays cash flow movement and patterns week over week.
  • Heatmap – Average Daily Balances: Spot high/low liquidity days to optimize cash allocation.
  • Pie Chart – Bank Balance Distribution: Visualizes how cash is distributed across various banks.

Sheets Overview

Sheet NameDescription
Solde de SociétéSummary of balances by company
Soldes de CompteBalances by account (bank, currency, date, company)
Solde MoyenAverage daily balances by account
Soldes HebdomadaireWeekly balances, enabling time-based analysis and trends

Benefits

  • Enhanced Cash Visibility: Track where funds are held and how they shift over time.
  • Improved Liquidity Planning: Use average and weekly balances for accurate cash flow forecasting.
  • Operational Efficiency: Quickly identify idle funds or potential overdraft risks.
  • Actionable Insights: Analyze by company, account, and institution to make informed decisions.
  • Flexible Drill-Down: Navigate from high-level company summaries to granular account details.