Float provides visual cash flow forecasting and scenario planning for Xero, QBO and FreeAgent.
Get a clear understanding of current and future cash, make more confident decisions, and stop spending hours in error-prone spreadsheets with this award-winning cash flow add-on that updates daily from your accounting software, giving you full visibility of cash for planning and control.
Get an easy-to-understand picture of your current and future cash. Simply enter your cash forecasts for what you expect to happen each month (or use our suggestions), and Float will keep these updated every day with bills, invoices and actuals so you can track your budget vs. actuals automatically.
Float’s scenario planning allows you to easily see how different decisions will impact your business. Can you afford to hire new staff, expand to another location, or lose a client? Find out easily and visually in Float. It’s faster and simpler than Excel - plus it never goes out of date!
Key features in Float:
Export and share insights Export your data to a CSV or PDF to share with your stakeholders, or add them to Float as users. Find out how accurate your budgeting has been with our budget variance report, layer multiple scenarios to help you make informed decisions, drill into the detail of each line on your chart of accounts, and more.