SALVIA PILOTAGE OPÉRATIONS
FINANCIAL AND TECHNICAL CONTROL OF THE REAL ESTATE PROJECTS OF SOCIAL LANDLORDS
With Salvia Pilotage Opérations, you set up your construction program, follow its schedule and check the delivery date, realize and follow your spendings and revenue budgets with a consolidated vision of all technical and financial data at each moment.
From the opportunity study to the definitive commitment, you quickly set up your budget regardless of the mix.
You unite all the actors and share a common method.
Optimization functions are used to obtain the best hypothesis by providing a graphical representation of the financial performance.
By consolidating your operations, you have a globalised vision of all your projects and follow your programming.
You have a Gantt schedule of your project allowing, from its very firts steps to define a delivery date.
The update of the key dates allows you to follow the delays and the impact in cash flow.
You define the steps of the project allowing an precise management.
Thanks to Salvia Pilotage Opérations, used as a collaborative project management tool, you follow up the work in progress and the tasks to be carried out in real time.
The creation of the reference budget (or budgets) is an essential point. You can compare your initial budget and the updated budget at any time.
The creation of construction contracts allows to follow all of your commitments regardless of their complexity (co-contracting, subcontracting, withholding of guarantees…).
Entering or importing invoices and situations allows you to control and validate the work in progress.
You process your funding files simply and efficiently. We estimate 60% of the time saved in management.
By following the procedures dedicated to your funding requests, you ensure against the risk associated with the expiry date, extension date and optimize your applications for interim payments.
The link with the operation schedule allows you to simply recalculate the cash flow forecast of the operation and thus optimize your calls for funds.
You have at your disposal at all times the cash forecast of a transaction or of all transactions and a graphic representation.
The cash flow plan is recalculated on a rolling basis according to the dates of the transaction schedule and the stage of invoicing.
Thanks to an overall vision of your financing, you optimize the mobilization of loans
The dashboard module is at the heart of Salvia Pilotage Operations.
You have a consolidated view of all your transactions whenever you want and you visualize their progress with graphical indicators. Your programming is summarized in one table.
You identify the delayed tasks and the risks of postponement.
Thanks to the multi-transactions vision, you have the statistics to obtain your key indicators (price/m²) and to compare transactions with each other.