Consolidate the View of Capital

  • Assure capital spending plans are aligned with strategy and capital availability
  • Define and justify capital

Budgets

  • Validate capital requests based on ROI, operational impact and strategic relevance
  • Prioritize capital needs relative to one another and with respect to strategy

Optimize Capital Spend

  • Prioritize capital needs relative to one another and with respect to strategy

Estimate Cash Flow

  • Accurately forecast cash needs and provide ongoing cost estimates

Streamline Purchasing

  • Automate the purchase requisition process, and enforce hierarchical and lower costs through aggregation and standardization

Track & Report

  • Manage cost variances and performance
  • Reconcile capital plans with actual spending