Behind the scenes

Improved financial planning thanks to new Demand Forecast model

Florian Schwarb
18.3.2025
Translation: Patrik Stainbrook
Co-author: Marco Wohlgemuth

Financial planning enables us to check the viability of our strategy and set realistic targets. Based on this, we decide, for example, when new warehouse space is needed, how much in fixed costs we can build up or how much liquidity we require. In our efforts to continuously improve our processes, we’ve developed the Demand Forecast from the ground up to be the most important driver of financial planning, contributing to an increase in our planning quality and efficiency.

Numerous innovations lead to significantly improved demand model

This improvement is also reflected in the metrics: the average percentage error improved from 16 per cent to seven per cent across the entire one-year evaluation period. On a more technical point, the R-Squared metric, which describes what proportion of the variance for the target variable can be explained, was improved from 34 per cent to over 90 per cent.

Better predictions on all product hierarchies and their limits

Ultimately, as in the chart above, the aggregated forecast is made up of numerous forecasts at lower hierarchical levels. As a result, the accuracy of the prediction at the highest level depends directly on the accuracy of predictions lower down. The chart on the left below, for example, shows demand for the computing product group in Switzerland. Weekly seasonality is also modelled much more precisely here than before.

Overall, we can clearly confirm that the development of a new Demand Forecast model for financial planning has paid off. From today’s perspective, we can estimate the development of customer demand with a higher degree of reliability. This gives us confidence in our ambitious goals and the courage to continue taking «piratesque» advantage of opportunities. We don’t know everything yet, but we’re positioned to react quickly to changing conditions.

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