Multi-Entity Cash Flow Forecasting Software
Pegasus Insights helps finance teams manage multi-entity cash flow forecasting with greater speed, accuracy, and control.

Built for Complex Finance Teams
Whether your finance team supports an MSO, holding company, private equity-backed platform, healthcare group, or conglomerate, Pegasus Insights helps turn fragmented cash data into clear, usable visibility.
Entity-Level Forecasting
Forecast cash inflows, outflows, collections, disbursements, payroll, vendor payments, and other cash activity for each entity.
Consolidated Liquidity View
Roll entity-level forecasts into a centralized group view to understand total liquidity across the organization.
Bank Activity Reporting
Automate bank activity reporting to monitor cash movement across accounts and entities.
Intercompany Forecasting
Track transfers, settlements, management fees, shared services, and other intercompany cash movements that affect liquidity.
Working Capital Visibility
Analyze working capital trends and cash conversion cycle impacts across entities to support better liquidity planning.
Scenario Planning
Model changes in collections, expenses, acquisitions, debt obligations, or working capital assumptions before they affect the business.
Why Multi-Entity Finance Teams Choose Pegasus
Pegasus helps finance teams turn multi entity cashflow forecasting into a more accurate, repeatable, and scalable process as the organization grows.
Built for Real-World
Cash Forecasting
Pegasus supports logic-based rules, custom formulas, AR/AP roll-forwards, and flexible forecast structures.
Centralized Visibility
See cash flow across entities, accounts, and business units without manually stitching together disconnected spreadsheets.
Flexible Scenario
Planning
Forecast multiple outcomes so your team can plan around growth, debt, collections, working capital changes, and liquidity needs.
Finance Expert
Support
Pegasus provides white-glove implementation and training from professionals who understand middle market finance teams.
Faster, More
Confident Decisions
Give Treasury, FP&A, and Finance leaders the visibility they need to make better decisions in less time.

Make Better Multi-Entity Cash Flow Decisions
Pegasus Insights helps finance leaders move from reactive cash reporting to proactive multi-entity cash flow forecasting and liquidity management.
What is multi-entity cashflow forecasting software?
Multi entity cashflow forecasting software helps finance teams forecast, consolidate, and analyze cash flow across multiple subsidiaries, business units, accounts, or legal entities from one platform.
What should I look for in multi entity cashflow forecasting software?
Look for software that can support entity-level forecasting, consolidated liquidity reporting, bank and ERP integrations, intercompany transfer modeling, scenario planning, and flexible forecast logic. Pegasus Insights is built for finance teams that need to manage cash flow across multiple entities without relying on disconnected spreadsheets.
How can my finance team get a consolidated view of cash across multiple entities?
Pegasus gives finance teams a centralized view of cash flow across entities, accounts, and business units. Teams can review individual entity forecasts while also seeing consolidated liquidity for the full organization.
How can I see which entities have excess cash and which ones need funding?
Pegasus helps finance teams compare cash positions across entities so they can identify overfunded entities, underfunded entities, and potential liquidity gaps. This makes it easier to plan funding, transfers, and cash allocation decisions.
How can I reduce the manual work of consolidating cash forecasts?
Pegasus reduces manual consolidation by connecting bank and ERP data, standardizing forecast structures, and allowing teams to manage forecasts in one platform. This helps finance teams spend less time collecting spreadsheets and more time analyzing liquidity.
How do I know if my company has outgrown spreadsheet-based cash forecasting?
Your company may have outgrown spreadsheets if forecasts take too long to consolidate, entities use different templates, cash visibility is delayed, intercompany transfers are difficult to track, or leadership cannot quickly see consolidated liquidity. Pegasus helps finance teams move to a more scalable forecasting process.





