Download your free guide: Beyond the basics of cash flow forecasting 

You'll learn: 

-   The importance of cash flow planning

-   How to go about cash flow forecasting

-   Scenario forecasting

-   Insights and reports a forecast helps with

-   Presenting your forecast to shareholders



Float is cash flow forecasting software for business owners, finance departments and business advisors. We integrate seamlessly with Xero, QuickBooks Online and FreeAgent to give you an easy to use but powerful tool that provides an accurate view of your future bank balance.

Best of all, because Float pulls real time data from your accounting software, we automatically update your actuals giving you a live, rolling forecast that never goes out of date.

Really simple and looks great! This has saved so much time and stress, and as a startup this makes all the difference! Projections look great, easy to interpret and update daily! Love it.

DION OXLEY
QUIZLING

The struggle for fast growing small businesses like ours against well established competitors is the threat of cash flow. Float is simply our passport to what the future holds for our business and helps us prepare for it. 

Jonnie Davis
Monachor, Ltd.

Recently Float helped us identify a future cash flow shortage, with this information we were able to make the necessary changes and plans to avoid a tricky situation with our creditors.

JARED TASKER
NEED A PART

Float is fantastic, it fills the gap in Xero's cashflow and budgeting features, and makes it very easy to keep an eye on the most important thing to any business: cashflow today, tomorrow, and down the line. We couldn't run our business as effectively without it.

Matt Haworth,
Reason Digital

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THE XERO ADVANCED CASH FLOW FORECASTING GUIDE

Are you looking to improve your cash flow forecasting with Xero? Look no further. 

What is Float?