About Us
What is Caleido?
Caleido builds next-generation financial software for growth companies for cash flow forecasting, budgeting, and reporting.
The company was founded at the end of 2021. Our operations are in Finland and Poland.
Mission
Our mission is to help companies plan and achieve their financial goals effortlessly.
We make cash flow forecasting, budgeting, and financial data analysis easy, fast, and reliable.
This is made possible by the advanced modeling logic at the core of Caleido, which can flexibly add business drivers, formulas, and assumptions. Industry-leading automation and a drag-and-drop interface minimize manual workflows.
Story
We have operated for over 20 years as finance professionals, founders, and investors in growth companies and have seen how difficult and time-consuming it is to create and maintain a reliable cash flow plan.
Financial modeling is typically done in Excel. Because of this, the models are simplistic, lacking comprehensive business drivers, and are highly dependent on the finance expert who created them.
Implementing scenarios is difficult. Utilizing multiple cost centers in detailed actual vs. budget reporting is practically nearly impossible with Excel.
Vision
We began at the start of 2021 with the vision of building Caleido into a financial platform that gives superpowers to CFOs and finance professionals:
Build a top-tier financial model, including cash flow forecasts, with 90% less workload.
Simplify complex reporting by creating classification rules for +20 dimensions.
Do more in one system with visualizations and track progress against benchmarks.
Run cash-based sensitivity scenarios in seconds by changing business drivers.
Enjoy your work with an intuitive interface that allows you to create any report simply by dragging elements.
Respond to threats faster with automated actual vs. budget variance analysis.