Turn your project into a financial plan. One question at a time.
Starting a business, planning for growth or seeking funding? Build your financial forecast through a guided conversation. Your answers about revenue, costs, investments and cash flow come together in a clear financial dashboard.
The figures to see where you’re heading.
Is your project profitable? How much funding will you need? When could cash flow become tight? Build an initial financial picture, then refine your assumptions.

Practical insights from the start
A guided conversation. Connected financial figures. Assumptions you control.
Guided, step by step
Describe your business, then answer questions about your revenue, team and investments. Your financial forecast takes shape as you go.
Tailored to your project
Sector benchmarks fill in the information you do not yet have. Their sources are clearly identified, and you can adjust every assumption.
Easy to adjust
Planning an additional hire? Taking a more cautious view of revenue? Update your assumptions and see the impact on your profitability and cash flow.
Your first financial forecast starts with a few questions
Describe your project in your own words. BP Builder guides you through the essential information and calculates your financial forecast using your answers.
Explore your dashboard for the first year free of charge. When you need to go further, the full version unlocks five-year projections, balance sheet imports and Excel exports with editable formulas.
We're here to help

Have more questions?
Don't hesitate to contact our teams.
Is the business plan generator free to use?
You can create your financial forecast and access your financial dashboard for the first year free of charge, with no credit card required. Five-year projections, Excel exports, balance sheet or annual accounts imports, and detailed debt and working capital breakdowns are available with a paid subscription.
What does the generated business plan include?
BP Builder creates the financial section of your business plan: a projected profit and loss statement, a monthly cash flow forecast and a funding plan. The full version also provides detailed debt and working capital breakdowns. You will still need to write the sections covering your business overview, market research and strategy.
Do I need to have all my financial information ready before getting started?
No. Start with the information you have, such as your business activity, revenue targets, main costs or planned investments. Missing information is supplemented with indicative sector benchmarks. You can then replace these assumptions with your own figures to refine your forecast.
Puis-je modifier et partager mon prévisionnel ?
Oui. Vous pouvez revenir sur vos hypothèses et voir le prévisionnel se recalculer. Avec la version complète, exportez un classeur Excel comprenant 10 onglets, des graphiques et des formules modifiables. Vous pouvez ainsi le transmettre à votre banque, à votre expert-comptable ou à un investisseur pour qu’ils examinent vos hypothèses.
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