Cash Flow Forecasting Software
Unlock cash visibility for your business.
Modern financial leaders are creating short-term cash flow forecasts, visualising scenarios, and identifying new opportunities — with Cash Flow Intelligence from Float.
Float automatically syncs real-time financial data from your favourite accounting tools to create visual cash flow forecasts. No more mammoth spreadsheets or manual creation. Float helps you plan ahead with confidence.
Float lets you add scenarios, projects, and budgets to help you visualise the impact of your financial decisions. Questions such as “can we afford a new hire?” or “when will we run out of cash?” or “What happens if we lose a customer” — can be answered with speed and accuracy.
Create accurate cash flow forecasts with daily, weekly and monthly views. Perfect for when you want to zoom out on the bigger picture or drill down to the granular details when cash is tight.
Modern finance professionals practice cash flow intelligence.
Connect your current accounting platform to Float in under three minutes and create your first visual forecast. Cash visibility has never been so easy.