Back to Directory
Wealth & Private Banking › Financial Planning & Advice › cash-flow-analysis
Float Financial
Float provides real-time visual cash flow forecasting by syncing with accounting tools.
Overview
Float Financial offers cash flow forecasting software that automatically syncs real-time financial data from popular accounting platforms to create visual cash flow forecasts.
The solution eliminates the need for complex spreadsheets by providing clear visibility into cash positions and future cash flow scenarios.
Float integrates with multiple accounting systems to support modern finance professionals in managing cash flow effectively.
Key Features
- + Real-time syncing with accounting software
- + Visual cash flow forecasting
- + Scenario planning and forecasting
- + Cash visibility and management
- + Automated data updates
- + Integration with multiple accounting platforms
Integrations
XeroXen AccountingSageQuickBooksOcfo
Is this your company? Keep your listing accurate and up to date.