Supplier and lane risk scored continuously - financial, geopolitical, ESG, weather - traced through to the revenue it threatens, with alt-sourcing plays staged in advance.
Every supplier, site, and lane scored continuously, traced through the bill of materials to the revenue behind it - with the alternate already qualified.
Financial, geopolitical, ESG, and weather signals combined into one score per supplier, site, and lane.
Each exposure traced through the bill of materials to the revenue it threatens, so the list ranks itself by consequence.
Tier-2 and tier-3 dependencies mapped - including the single sources hiding behind a perfectly healthy tier-1.
News, filings, port, and weather feeds monitored continuously, so the alert arrives while the option set is still open.
Qualified alternates, pricing, and lead times staged in advance - one click to activate, no scramble to requalify.
Take a site or a lane offline in a scenario and see the service, cost, and revenue impact before it is real.
Supplier master, spend, bills of material, and lane data pulled from your ERP and procurement stack; external risk feeds switched on.
Risk scores calibrated against your own disruption history, then ranked by the revenue each exposure actually threatens.
Alerts route to the buyers who own them and the first alt-source playbooks go on the shelf, pre-approved.
Most disruptions were visible weeks before they were expensive. The signal was there; nobody owned it.