To compare two scenarios (and more!), and, thus, analyse the difference between your basic forecast and one or more assumptions, click on the Cashflow plan and then on Main Scenario.
You will find all the scenarios you created beforehand. To the right side of each scenario name you will find an eye symbol. The eye 👁 allows you to instantly display the cash flow curve of a scenario on the graph. 📊
It is possible to display several cash flow curves and thus analyse the different forecast deviations in order to make the most strategic decision possible 😉
💡 Good to know: It is possible to delete a scenario, except the main scenario which is your cash flow forecast 😊