Float Cash Flow

Sail your business safely through any storm

About

Float is the visual, accurate and intuitive cash flow forecasting, budgeting and cash management tool for Xero, QBO and Free Agent.

Features

Access Controls/Permissions
Alerts/Notifications
Bank Reconciliation
Cash Management
Chart of Accounts
Consolidation/Grouping
Customizable Reports
Data Import and Export
Data Visualization
Expense Tracking
Financial Analysis
Forecasting
Functions/Calculations
General Ledger
Income & Balance Sheet
Income Statement
Invoicing
Lead Management
Modeling and Simulation
Multi-department/project
Multiple Companies
Multiple Currency Support
Opportunity Management
Performance Measurement
Pipeline Management
Planning Strategic
Reports & Analytics
Sales Reports
Scorecards
Search/Filter
Statistical Analysis
Widgets

Looking for another solution?

Use our smart search engine to find the perfect tool for your needs.

Find my ideal tool