Liquid, for agencies that take their hours seriously.
As an agency, you want to focus on the work you excel at. However, you don't have the luxury of ignoring finance. In 2025, there is strong price pressure in the industry and simple project planning is no longer sufficient. Without financial insight into your margin and cash flow, you are going blind. With Liquid, we offer you a tool to look back and forward and make the right choices.
Thijs Olthof
Founder of Liquid
Prevent sleepless nights around salary, payments and VAT by seeing at a glance how your cash flow is doing in the coming months.
Make choices about expanding your team and other investments with confidence through clear forecasts and scenario planning.
Make sure your profits don't evaporate by following your margin at a glance, and see exactly what overhead costs are reducing your profit.
Spend less time on spreadsheets and more time executing the projects you excel at as an agency.
Liquid's forecasts ensure that you know exactly where your cash flow will be next week and next month.
No abstract spreadsheet, but recognisable entries such as “Revenue” and “Employee”. Liquid calculates everything under the hood for you.
Your actuals are often a good starting point. Easily add indexations to make your first forecast. Then quickly build different what-if scenarios.
In Liquid, your actuals and forecasts come together in a single overview, without having to manually import and connect figures yourself.
Do you have different entities within your agency or agency group? With Liquid's consolidation features, you can easily combine them, including intercompany eliminations.
Liquid connects with your favorite accounting software, with Nmbrs' payroll administration, and, of course, also with your existing budget data from Excel.