Generate income statements, balance sheets, and cash flow statements with multi-period analysis and advanced analytics.
Manual formatting
3–4 hours per set
Building income statements, balance sheets, and cash flow statements by hand in Excel: formatting, cross-referencing, and reconciling every line.
Disconnected analytics
Separate spreadsheets
Financial ratios, working capital analysis, and inventory metrics calculated in isolated spreadsheets with no link to underlying statements.
No multi-period view
Trends hidden
Static single-period reports make it impossible to spot year-over-year trends without manually building comparison tables.
< 10s
3 Statements
Income statement, balance sheet, and cash flow, generated in seconds.
15+
Financial Ratios
Current ratio, quick ratio, debt-to-equity, and more, auto-calculated.
5 yrs
Multi-Period
Compare up to 5 fiscal years side by side with YoY variance - quarterly, LTM, YTD and more.
Switch tabs to explore each financial statement
From mapped accounts to complete financials in seconds.
Clervue pulls directly from your matched trial balance. No re-entry, no reformatting required.
Income statement, balance sheet, and cash flow statement auto-generated with standardized templates and full compliance.
Multi-period comparisons, financial ratios, and working capital analytics, all calculated and visualized automatically.
Working Capital Waterfall
Switch categories to explore different analytics
Generate income statements, balance sheets, and cash flow statements across multiple fiscal years with automatic period alignment.
Current ratio, quick ratio, debt-to-equity, return on equity, and 15+ financial ratios calculated automatically from your statements.
Net working capital, inventory turnover, receivables days, and payables days, tracked across periods with trend visualization.
Visualize cash flow from operations, investing, and financing activities in an interactive waterfall chart with drill-down capability.
Discover how Clervue's modules work together.