Simple Cash Flow Forecasting for Xero
Finally - a quick and easy way to stay on top of your future cash flow
See the bigger picture
It's so important to know what your cash position is going to be like at a given point in the future.
Float connects the dots to show you how things will look in the future and allows you to see any potential issues, or seasonality in your business.
Let Float do the hard work
- Data entry is donkey work. Let Float do it for you.
- Float imports and categorises all your figures directly from Xero - so your forecast is always accurate and up to date - no effort required!
Forecasting without Spreadsheets
- Unlike spreadsheets, Float is online, so you can access it anywhere, anytime - just like Xero!
- No formulas to understand, type-in, or break!
- Focus on the numbers, and your business - not wrestling with Excel.
- Float makes it really easy to set up spending budgets for your business.
- Track where your budgets are at right now, and forecast future spending easily.