Cash is at the heart of every business, but it’s rarely planned for properly. We want to help you understand what the future of your cash looks like, which is why we’ve partnered with Float. Float offers intuitive, visual cash flow forecasting that anyone can understand, helping you make decisions with confidence.
Float specialises in short-to-mid term, accurate, operational cash flow forecasting. It will help you answer questions that plague every business, such as ‘What if that invoice doesn’t get paid in the next five days?’, or ‘How much cash flow am I going to have in the next three months?’
Float connects into your cloud accounting software and combines your data with your predictions to produce a powerful, real-time forecast of your future cash position in the next days, weeks and months.