Overview stats, source lanes, and action rows for operating review.
You are looking at a sample company. Every figure here is seeded demo data, not a customer result.
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Board-ready exports, recent report runs, and the report outline behind the CountCore operating pack.
Every export stays tied to the live workspace so board review, cash planning, and mismatch review all reflect the same source of truth.
Overview stats, source lanes, and action rows for operating review.
Open and resolved reconciliation findings with evidence and resolution state.
The 13-week forecast with inflow, outflow, and ending cash.
Each export is recorded so operators can revisit what was generated, when it was run, and which report scope it covered.
The printable export mirrors the live operating data the workspace already uses.
CountCore branding, reporting period, and generation timestamp.
Revenue, spend, runway, and headline operator metrics.
Revenue mix by client and service line using synced allocations.
Vendor and category spend pattern over the recent operating window.
Variance snapshot for revenue, spend, and profitability lines.
Weekly projected balance with inflow and outflow detail.
Narrative operator commentary and recommended next actions.
Keep the narrative in step with the underlying data so the export stays board-ready.