Busy e‑commerce teams need clear answers. How much cash is available, which channel makes money after fees and refunds, when stock will run tight, and what VAT is due. Our management reporting gives you those answers in one place so you can plan stock, control ad spend and fund growth with fewer surprises.
Predict cash flow and assess the cash flow implications of your plans.
Create 3 way (cash flow, profit and loss and balance sheet) forecasts projecting up to 10 years into the future.
Scenario modelling gives to a greater understanding of your business, enabling you to answer “what if?” questions.
Create your own KPIs to assess business metrics.
Report against budget, prior year or both with graphical analysis to get a more in depth view of the numbers.
Get alerts if an agreed threshold or limit is met or if a target has been hit.
Get further insight into performance versus budget with variance analysis.
The management data you get from Elvervision will help support the decisions you need to make.
Annotate the assumptions which have been taken when building a business plan and share internally and externally.
Accurately model the future of the business with unlimited forecast items. The more you can visualise, the more empowered you become.
Build forecasts fast using historical business data. Quickly assign growth rates or fixed increases or decreases that account for seasonality.
Use existing spreadsheet budgets and forecasts to get started and then customise them further in Elvervision.
We give founders clarity, control, and confidence over cash and performance.
The Ark
We’ve been really impressed with the support from Elver accountants (especially Chelsea) over the years. They’re always professional, responsive and proactive in finding ways to save time and reduce costs. What really stands out is their willingness to look at innovation, with that being new systems or apps that make our processes more efficient, saving us workload and time. It feels like they’re genuinely invested in helping our business run smoother and more efficiently. We couldn’t recommend them highly enough.
Aoife Woods
Excellent service from Elvers- Tom is especially knowledgeable, proactive, and always goes the extra mile! Elvers are very experienced in complex sales channels linking to your accounts package. Have really helped our business.
Our team connects Xero, sales channels, payment processors and inventory tools. We align mappings so actuals reconcile to payouts and bank.
We set up a three way model linked to your drivers, then calibrate with historical trends.
We capture targets and thresholds so alerts and variance analysis are meaningful.
You receive the monthly pack on an agreed cadence, with a finance lead to talk it through.
We refine assumptions, add new KPIs and expand scenarios as the business changes.
Request a no-obligation consultation to discuss your current reporting setup, and explore how we can help you track performance, plan ahead and make confident decisions.
Yes. We can consolidate reporting across different companies, currencies and countries. Intercompany and FX effects are handled within the monthly pack.
Yes. We include VAT timing and expected payments in the cashflow forecast so there are no surprises.
Monthly or quarterly as agreed/required. We can add weekly cash snapshots or custom cadence if needed.
Yes. We prepare lender and investor packs using your reporting data, with reconciled numbers and key metrics.
Typically 1–2 weeks once we have access to your systems. We handle the mapping and data checks before reporting begins, but will depend on quality of existing data/processes.
Wait! Before You Go…
Don’t miss out on your FREE consultation with one of our experienced directors.
Benefit from personalised advice and tailored solutions for your e-commerce business. Our directors are here to help you navigate the complexities of e-commerce accounting and VAT/GST compliance, alongside Virtual Finance Director (VFD) services to provide comprehensive financial guidance tailored to your e-commerce business.