Have AI forecast the expected P&L, balance sheet, and cash flow impact before a transaction is entered, then compare against actual model output to surface logic errors early.
Have AI forecast the expected P&L, balance sheet, and cash flow impact before a transaction is entered, then compare against actual model output to surface logic errors early. Use this during financial model QA or when testing new transaction scenarios.
I am going to test this scenario: [describe the transaction — e.g., "a prepaid expense of £12,000 covering 12 months, with cash paid over 10 months, starting April"]. Before I enter the data, tell me exactly what I should expect to see in the P&L, balance sheet, and cash flow for each affected month. I will compare your prediction against the actual output. If they do not match, we will identify where the logic has broken down.