Connect your bank accounts, automatically refresh your data and save time and effort. Easily monitor your daily inflows, outflows and net result.
Check your total balance from all imported bank accounts and see how much time your company will survive with the available cash. Visualise all your past and future cash flow fluctuations.
Build forecasts, plan your growth and avoid cash flow problems. Easily set up new business goals and track daily performance.
Connect your bank account and automatically import your transaction history. Manually upload invoices, forecasts or other financial reports.
Monitor your daily financial status and add cash flow forecasts which match your business goals. Track everything from one place.
Now it’s easier to answer questions like “What will happen if I lose this client?” or “Can I afford to hire someone now?”. Measure how each decision influences your future cash position.