Savrix Povel predictive analytics dashboard overlooking a city skyline

Every tool you need to put idle cash to work, deliberately

Savrix Povel combines predictive modelling, risk-adaptive scoring, and continuous monitoring in a single workspace built for finance teams who prefer evidence over guesswork.

Forecasts built on your actual cash behaviour

Instead of generic benchmarks, Savrix Povel studies your historical balances, inflows, and seasonal patterns to project how much capital can be allocated without disrupting operations. Models update automatically as new data arrives, so recommendations stay current.

  • Rolling cash projections

    Short, medium, and long-horizon forecasts refresh continuously, giving you a live view of surplus capital rather than a static snapshot.

  • Scenario comparison

    Test how different allocation choices would have played out against historical volatility before committing any capital.

  • Confidence indicators

    Every projection is paired with a clear confidence range, so you understand the uncertainty behind each number.

Savrix Povel team reviewing predictive cash flow models

Recommendations that adjust as conditions change

Risk tolerance isn't fixed, and neither are our suggestions. Savrix Povel recalibrates exposure limits whenever your cash position, market conditions, or stated preferences shift.

01

Set your parameters

Define liquidity minimums, risk appetite, and approved instrument types once, in plain language.

02

Receive tiered recommendations

Savrix Povel proposes allocation options graded by risk level, each with an explanation of the underlying logic.

03

Adjust and re-run

Change an input and recommendations recompute immediately, so decisions reflect the latest picture.

A single view of allocated and available capital

Once capital is deployed, Savrix Povel keeps tracking it. The dashboard surfaces utilisation, projected returns, and any positions drifting outside your defined risk bands, so nothing waits until month-end to be noticed.

  • Live allocation breakdown

    See exactly how much idle cash is deployed, held in reserve, or pending review at any moment.

  • Drift alerts

    Get flagged the moment an allocation moves outside the risk tier you approved.

Capital Overview Live
Reserved Liquidity
38%
Low-Risk Allocation
29%
Moderate-Risk Allocation
22%
Pending Review
11%
No positions currently outside approved risk parameters. Next recalibration scheduled automatically.

Documentation built for internal review, not just dashboards

Exportable summaries

Generate clear allocation and performance summaries suited for finance committee review or audit trails.

Decision rationale logs

Every recommendation is accompanied by the reasoning and inputs behind it, kept for later reference.

Role-based access

Control who can view, approve, or adjust allocation parameters within your organisation.

See these features applied to your own cash position

Start an analysis and get a first view of how Savrix Povel would model, score, and monitor your idle capital.

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