What is Float Cash Flow Forecasting ?
Float is an award-winning cash flow forecasting, cash budgeting and cash management tool exclusively for use with Xero, QuickBooks Online or FreeAgent. View your cash flow on a daily, weekly and monthly basis, scenario plan at the click of a button and forecast up to 3 years into the future! Because Float reads amounts and expected dates on every bill and invoice, you get granular, actionable insights into your cash flow, that you can then share with your bank, investor or board.