Float Cash Flow Forecasting


Float is a cash flow forecasting tool that integrates seamlessly with Xero to build a visual and accurate picture of your current and future cash. It's the only cash flow app for Xero that updates your cash expectations with bills, invoices and actuals every day, so you can track your budget vs. actuals automatically. You can plan for cash that’s not yet in Xero, update expected payment dates to when you think bills and invoices will actually be paid and use our scenario planning tool to make confident business decisions in minutes. Faster and simpler than Excel. Plus it never goes out of date!