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Cross-Sector / Enterprise Fintech › treasury-liquidity › cash-forecasting
Float Cash Flow Forecasting
Float provides real-time synced cash flow forecasts from accounting data for business cash visibility.
Overview
Float Cash Flow Forecasting is a financial software solution that automatically syncs real-time financial data from popular accounting tools to generate visual cash flow forecasts. It eliminates the need for manual spreadsheet management by providing an integrated platform for cash visibility.
The software is designed to support modern finance professionals by delivering accurate and up-to-date cash flow insights, helping businesses manage liquidity and plan financial operations effectively. Float integrates with multiple accounting systems to streamline the forecasting process and enhance financial decision-making.
Key Features
- + Automatic syncing of real-time financial data
- + Visual cash flow forecasting
- + Integration with popular accounting software
- + Elimination of manual spreadsheet forecasting
- + Cash visibility and liquidity management
Integrations
XeroXen AccountingSageQuickBooksOcfo
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