Real Time Cash Flow Forecasting Made Easy

Float is a cloud based cash flow management solution for small to medium sized businesses.  Designed to provide a complete real time view over short and long term cash flow, Float provides owners with invaluable insights into the financial position of their business allowing informed decisions and accurate planning to achieve their business goals.

With seamless integration with Xero, Quickbooks On line and FreeAgent, Float gathers live data from your accounting package automatically providing daily, weekly or monthly view over your cash flow with the additional benefit of being able to go granular into bills and invoices by drilling down.

No more complex spreadsheets, Float allows you to compare your budget to your actuals and provides the ability to create various scenarios, so you can see the affect financial decisions will make to your cash flow before you even make them.

Features of Float

  • Forecasting
  • Detailed drill down
  • Budgeting
  • Exporting and reporting
  • Create scenarios
  • Sync up your accounting software