Float
Cash flow forecasting and scenario planning
Float is good for

What is Float?

Float is an online cash management and forecasting tool that helps you manage your business, keep on top of your cash and make decisions with confidence. Its mission is to put cash flow at the heart of every business.

Real-time cash flow confidence

Every business needs a cash flow forecast they can trust. Especially when 82% of companies that go out of business do so because of poor cash flow visibility and management.

Float will give you an accurate picture of your past, current, and future cash flow so you can plan for the what-ifs, make more informed decisions, and unlock a brighter future for your business. It’s the smarter way to be more proactive with your cash.

Easily understand and manage your numbers
You shouldn’t need to be a financial whiz to get a handle on your cash flow. Float gives you a clear, precise view of what’s happening with your business’s cash today (and tomorrow), based on real-time information.

Get real-time insight with less effort
Your cash flow forecast automatically syncs to your accounting software and pulls information from your bank accounts so you can easily see what cash is coming in and going out (and which bills or invoices are overdue), giving you an always up-to-date cash flow forecast.

Scenario planning
Run scenarios based on your current and future cash position to see what could happen if you make a hire, lose a client, increase expenses, receive a late payment, or pay that big bill.

Get a real-time, visual view of your cash flow and make more confident decisions about the future of your business

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