For Canadian Enterprises

Project Future Cash Movements with Confidence

Briavene helps teams in Canada visualize upcoming expenditures and inflows, adjust plans dynamically, and prevent shortfalls. Streamline your financial planning with intuitive dashboards and automated alerts.

Our Solutions

Real-Time Forecasting Engine

Utilize our forecasting engine to generate rolling projections that factor in pending invoices, subscription renewals, payroll schedules, and other recurring charges. With up-to-date data feeds, your projections stay aligned with the latest business activity.

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Deep Visibility, Stronger Decisions

Comprehensive Budget Oversight

Briavene’s oversight modules let you set custom budget categories and assign spending limits. Receive notifications if actual spending nears those limits, and access granular reports for departments, projects, or cost centers to keep every team accountable.

Pricing

Optimize Cash Reserves

Cash Availability Management

Maintain healthy reserves by tracking inflows, planned outflows, and minimum threshold alerts. Our tools help you adjust payment schedules and reserve targets so you can operate smoothly through seasonal fluctuations or unexpected costs.

About

Elevate Your Financial Planning

Join Briavene and bring precision to your forecasting and budget monitoring processes. No disruptions, only clearer projections and timely notifications.

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Meet Our Team

Our founders and specialists combine years of practical experience in operational finance, software development, and business strategy to deliver tools that support your day-to-day cash management needs.

Jessica Liu

Jessica Liu

Lead Product Manager

Michael Carmichael

Michael Carmichael

Head of Engineering

Aisha Patel

Aisha Patel

Customer Success Director

Key Features

Briavene equips your organization with modules designed to enhance visibility, control spending, and safeguard operations against unexpected funding issues.

Automated Data Sync

Connect with your accounting software and banking platforms to pull transaction records automatically. Keep your forecasts fresh without routine manual uploads.

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Custom Alerts & Notifications

Set alerts for unusual spending behaviours, threshold breaches, and upcoming payment dates. Receive notifications via email or in-app messages.

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Interactive Dashboard

Generate dynamic cash forecasts to anticipate upcoming commitments and receipts, helping you maintain smooth day-to-day operations.

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Budget Oversight Tools

Track spending against planned budgets in real time and receive alerts when thresholds are approached, enabling prompt corrective actions.

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Reserve Monitoring

Stay informed about available reserves to avoid shortfalls and ensure sufficient coverage for critical outflows.

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Scenario Analysis

Run what-if scenarios to evaluate the impact of timing shifts in receipts and disbursements, supporting data-driven adjustments to spending plans.

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Oversight & Forecasting

Cash Availability Management

Effectively anticipating the timing of receipts and outflows is central to operational continuity. By leveraging structured forecasting methods, finance teams at Briavene can project incoming revenue and outgoing commitments weeks or months in advance. This structured visibility helps identify periods of tight availability, preserve needed reserves, and guide adjustments to spending plans. With transparent models and accessible dashboards, decision makers can stay informed and proactive, reducing the risk of critical shortfalls and ensuring funds remain aligned with strategic priorities.

Proactive Cash Forecasting

Proactive projection of upcoming receipts and disbursements enables teams to pinpoint gaps well before they occur. Briavene’s forecasting engine ingests historical timing patterns, recurring commitments, and variable outlays to produce rolling forecasts tailored to your planning horizon. By mapping predicted inflows against scheduled expenses at daily or weekly intervals, stakeholders can adjust payment dates, renegotiate terms, or accelerate inflows through structured invoicing workflows. This forward-looking clarity supports measured decision making, aligns operational priorities, and minimizes the chance of urgent shortfalls disrupting supplier relationships or payroll timelines.

Budget Oversight Framework

Controlling expenditures against predetermined spending plans is essential for maintaining healthy fund management. Briavene offers customizable oversight dashboards that compare actual outflows with budgets at a granular level, whether by department, project, or cost category. Automated alerts flag threshold breaches, highlighting areas where costs exceed planned limits. Finance teams can then drill into spending drivers, reassign budget allocations, or implement approval gates before additional commitments are made. The result is disciplined cost governance that balances operational needs with preservation of essential reserves.

Reserve Planning & Scenario Analysis

Maintaining an adequate buffer of available funds safeguards against unexpected spikes in disbursement demands or delays in receipts. Briavene’s reserve monitoring provides real-time tracking of the minimum recommended balances required to support critical operations. Combined with interactive scenario analysis, users can simulate changes such as accelerated payments, deferred expenses, or altered collection schedules and observe their impact on reserve levels over time. These insights empower organizations to negotiate payment terms, phase discretionary outlays, or secure temporary financing lines in a timely manner, reducing stress on day-to-day operations.

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Additional Resources

Our support team at Briavene is available Monday to Friday, from 9 AM to 5 PM EST, to answer questions about implementation, configuration, and best practices.

Contact us for personalized guidance or explore our Help Center for tutorials, templates, and sample workflows tailored to cash flow forecasting and budget oversight.