Veron Flow Dashboard view with growth curves and capital allocation data clusters

Intelligent capital allocation through AI-powered data analysis

Turn unused liquidity into returns. Veron Flow uses predictive modeling and backtesting to provide SMB decision makers with accurate cash management recommendations.

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Initial situation

Why “waiting” is your most expensive investment

In a volatile market environment, dormant capital is a risk. Manual analysis is too slow for real-time markets. Veron Flow closes the gap between flood of data and informed decisions through automated risk-benefit reconciliation.

  • Reduce opportunity costs
  • Real-time market monitoring
  • 100% data-based logic
Veron Flow team analyzing financial data and market models
Technology

The three pillars of our analysis engine

Each recommendation goes through several stages of review before it is displayed on your dashboard.

Predictive analytics

Pattern recognition in historical and current market data in order to classify trends at an early stage instead of just reacting.

Validated backtesting

Strategies are tested for robustness against real historical scenarios before being made a recommendation.

Risk management engine

Automated warning systems report deviations from the chosen strategy so that you can react early.

Procedure

From data connection to recommended action

The path from your financial data to a concrete decision follows three understandable steps.

1

Data integration

Secure connection of your financial key figures via standardized interfaces, without manual transmission.

2

AI optimization

Comparison with millions of data points and historical models to classify opportunities and risks.

3

Implementation

Receive clear, actionable recommendations for action that you can coordinate directly with your bank or finance department.

Use cases

How different companies use Veron Flow

The specific use depends on the capital structure and risk profile of your company.

Operating reserves

Optimization of operating reserves for medium-sized businesses

Liquidity buffers remain available, but are reallocated into investments that can be liquidated in the short term according to clear rules instead of remaining unused in the business account.

Reinvestment

Strategic reinvestment of profits for SaaS companies

Recurring sales create predictable surpluses. Veron Flow shows what proportion of this can be reinvested without endangering operational liquidity.

Risk control

Risk minimization with short-term liquidity surpluses

Seasonal sales peaks often lead to temporary surpluses. The risk management engine automatically limits the term and volume of corresponding investments.

Data security according to banking standards

GDPR compliant, with hosting in Germany. Your financial data never leaves a controlled server room within the EU.

Encryption
Servers in Germany
GDPR compliance

Ready to make smarter financial decisions?

Gain access to analytics previously largely reserved for major banks.

Arrange a free initial consultation