Best Up Your Cash Flow Alternatives in 2025
Find the top alternatives to Up Your Cash Flow currently available. Compare ratings, reviews, pricing, and features of Up Your Cash Flow alternatives in 2025. Slashdot lists the best Up Your Cash Flow alternatives on the market that offer competing products that are similar to Up Your Cash Flow. Sort through Up Your Cash Flow alternatives below to make the best choice for your needs
-
1
ZenTreasury
ZenTreasury
9 RatingsZenTreasury empowers CFOs, treasurers, and finance professionals to optimize financial operations with a unified Treasury Management System (TMS). Our platform simplifies cash forecasting, lease accounting, and treasury workflows, delivering real-time insights and automation to reduce complexity and ensure compliance. Start for free with our Freemium plan, perfect for cash forecasting and liquidity management, or scale with Premium plans offering advanced features for growing organizations. ZenTreasury’s lease accounting module streamlines IFRS 16 compliance, providing automated amortization schedules, critical date tracking, multi-currency support, and cost center allocations—all validated by an international audit firm for trusted accuracy. In treasury, ZenTreasury enables seamless financial contract management, risk mitigation, and cash flow optimization with powerful reporting and analytics tools. Available as a secure SaaS solution or Private Cloud deployment on Microsoft Azure, AWS, or Google Cloud, ZenTreasury adapts to your needs with enterprise-grade security and scalability. Join the growing list of finance professionals transforming their operations with ZenTreasury today. -
2
Vena
Vena Solutions
469 RatingsVena Solutions provides an intuitive FP&A platform built to enhance financial operations through streamlined planning, budgeting, and forecasting. Fully integrated with Microsoft Excel, Vena enables users to efficiently manage their financial data and collaborate in real-time. The platform offers AI-driven insights, automated processes, and comprehensive reporting capabilities, helping businesses improve their decision-making and reduce time spent on manual tasks. Vena’s scalability and flexibility allow organizations to align teams, enhance data accuracy, and drive better financial outcomes. -
3
Trovata
Trovata
$500 per monthModern treasury software. Easy onboarding, no IT or implementation required. Trovata integrates open banking and ERP to automate data normalization, aggregation and analysis. This allows you to report on cash trends and cash positions. Instantly and continuously. Trovata can be integrated with most banks. Connect in minutes and you will always be connected. No need to download.CSV files from banks websites to update cash positions. Trovata, an open banking platform, allows companies to instantly see how much cash they have and forecast more quickly. It also allows them to manage cash flow with precision. 75% of the work involved in analyzing cash is manual compiling the source data, and rolling over Excel models for most businesses. Trovata.io makes it easy to automate your workflows. -
4
Every business needs a cash flow forecast that they can trust. This is especially important when 82% of companies that go out-of-business do so because they have poor cash flow visibility. Float will provide you with a detailed picture of your cash flow, including past, present, and future cash flows. This will allow you to plan for the possible, make informed decisions, and unlock a brighter tomorrow for your business. It's the smarter, more proactive way to manage your cash.
-
5
Cash Forecaster
Bowraven
$196.20 one-time paymentImagine a simple to use, quick-to-get started cash flow software. Cash Forecaster is a cash flow forecasting software that was designed with the user in view. Our simple cash flow forecasting software will save you time and make it easier to create complicated spreadsheets. Imagine never again having to calculate complicated Excel formulas. Imagine all the headaches you'll avoid. You will also save time in calculating the numbers to include on which reports. With the built-in sensitivity analyze tool, you can quickly review your business's best- and worst-case scenarios. This makes it easy to create 'what-if" scenarios. -
6
Cash Flow Mapper
CashFlowMapper
$25 per monthCashFlowMapper shows you your business as it actually happens. Forecast your cash flow in any timeframe you choose, from days to years. You will always know where you stand relative to your cash comfort level. Your cash flow forecast can be displayed numerically or graphically, with daily commentary on cash balances and movements. CashFlowMapper is easy to use and requires no financial skills. You can import your data directly from your accounting program or export data from your online bank website. Combine different scenarios and cash flow plans to create a complete picture of your cash flow. Combine plan graphs or overlay scenarios to compare visually, complete with commentary. Export your cash flow plans ready to use for modeling and presentation or inclusion in reports. There are many resources available, including videos, tutorials online, and phone support. -
7
Planacy
Planacy
925€ /month for up to 10 users Planacy's unwavering objective is to provide the leading FP&A-platform on the market, revolutionizing the way businesses operate and contribute to better performing businesses. As the leading challenger for data-driven Financial Planning Planacy provide an innovative, powerful and fully customizable platform that simplifies more efficient and value-creating budget, forecast and planning processes. Planacy enables higher engagement and accountability in the business over the financial forecasts and targets. The platform - with 100% focus on driver-based planning - makes it easier to work more proactively and to always have access to an updated financial forecast that can function as a more well-functioning strategic management instrument. -
8
Clockwork
Clockwork
$159 per monthThe Clockwork Score automatically scores your financial performance and tells you what to do. Machine learning uses data from your balance sheet, P&L, and cash flow to provide real-time cash flow forecasts for weekly and monthly. You can easily create your own metrics using financial and non-financial data. This will give you a complete picture about your business. Quickly and securely integrate with QuickBooks Online and Xero to instantly create financial models and forecasts. A bank account does not provide cash flow forecasts. You need to know your financial obligations and be able to anticipate the needs of your business. Avoid costly mistakes and make sure you have fewer surprises when managing your finances. Know exactly when cash is coming and going, and what your future funds will look like at different points. -
9
Agicap
Agicap
Agicap automates and centralizes your cash flow, allowing you to focus on analysis and decision-making. Create your cash flow forecast, and monitor your targets. Visualize your cash flow by synchronizing bank accounts and business software. Automated, centralized and harmonized cash-management can improve overall productivity. Consolidate your data with a collaborative tool that consolidates all of your data. Cash flow can be forecasted at the entity or consolidated level. Consolidate your cash flow and monitor it from multiple banks, entities and business tools. Create automated cash forecasts to explore scenarios. Create custom dashboards for better analysis and reporting. Agicap will automatically categorize your banking transactions. Real-time monitoring of the differences between actuals and forecasts. Build a reliable prediction and make informed decisions at the appropriate time. -
10
Kardin Budget
Kardin Systems
$2300Kardin Budget is a strategic budgeting and reforecasting platform tailored for the commercial real estate (CRE) industry. With Kardin Portal, users can focus on high-level decision-making while reducing time spent on manual budgeting tasks, ensuring more effective property and portfolio management. Key Features: • Centralized Platform: Secure, role-based access to real-time property and portfolio data, enabling streamlined budget management and collaboration. • Budgeting and Reforecasting: Dynamic tools for cash flow forecasting, CAM recoveries, and lease assumptions across multiple property types. • Comprehensive Reporting: Real-time reports with year-over-year comparisons, portfolio-level insights, and Excel export capabilities. • Seamless Integration: Works with existing accounting systems for error-free data management. • Collaboration Tools: Enhances teamwork between property and asset managers to align strategies across properties and portfolios. -
11
Fluidly
Fluidly
$33.68/month Fluidly is fundamentally changing the way businesses plan and manage finances. We can help you, whether you are an accountant looking to improve your client service or a business looking to manage cashflow more efficiently. Cashflow forecasting was traditionally a manual process that was almost entirely done in spreadsheets. Problem? Forecasts can become out of date in an instant. Fluidly's real time software connects with your Xero and QuickBooks accounts and uses the data to automatically create a cash flow forecast. It is easy to understand. No need to stress or model, Fluidly's real-time software connects to your Xero or QuickBooks account and uses the data to automatically build a cash flow forecast in an easy-to-understand chart. You can see your cash flow history, opening cash position, as well as future predictions. We can match you up with a variety of lenders to provide pre-qualified funding options in seconds. There is no obligation to proceed. Connect your Quickbooks or Xero ledger to instantly see your forecast. -
12
Castaway
Castaway
$140 per monthCastaway is a comprehensive, intelligent cash flow forecasting program. Castaway helps you make sound business decisions and create value for your clients. Castaway's powerful 3-way reporting approach and business modeling approach preserves the integrity of your forecasts using double-entry accounting. Castaway provides stunning reports and dashboards that help you tell the story about your business. Get insight and foresight into your cash flow. Prepare dynamic reports to tell the story of your business to banks and other stakeholders. Take control of your numbers and strategize where you want to grow your company. Transform from complicated, time-consuming spreadsheets that are cumbersome and inefficient to simple files that can be used for powerful calculations. Castaway's 3-way reporting is based on foundational accounting principles. To re-forecast and make better business decisions, perform Actuals & Variance analysis. -
13
ProfitSee
ProfitSee
Automated and white-labeled financial reports, cash flow forecasting and analytics can help you grow your advisory practice. ProfitSee can help you gain real-time insight that makes a difference, regardless of whether your clients' data is stored on Xero, QuickBooks Online or any other cloud accounting platform. ProfitSee tools are automated to sync every night, so the data you use will always be current. The most current and relevant data will always be available when you schedule reports, set KPI alerts or give access to the online client dashboard. This allows you to manage clients' cash flow, beat clients to the phone, and create future opportunities. Don't limit yourself to simple "percentage increase/ decrease forecasts". ProfitSee automatically generates forecasts using historical performance and upcoming business strategy in the same way as global accounting firms or Fortune 100s. -
14
ThinkOut
ThinkOut
$50.00/month/ user ThinkOut is an online platform that provides financial analysis and forecasting to SMEs. It works by using the bank account transaction history. You can view the total balance of all your connected bank accounts, the cash runway based on the current balance, the expense rate or revenue and expenses for the past three months. ThinkOut automatically populates the cash flow plan using data from bank account statements. It shows in an easily understood, visual way how your company's money is distributed based on income and expense categories. ThinkOut converts transaction data into easily-understand charts that shed more light on how income and expenses are structured. Based on past business activity, the platform builds cash flow forecasts. This allows you to plan your business based on anticipated income and expense patterns. -
15
Cube
Cube
Real-time FP&A right from your spreadsheet Modern times demand power and agility. Designed for all sizes of teams. Identify strategic opportunities and areas of risk. Build trust Collaborate and align across the organization with accurate insights and analysis. For today's business pace, move fast agility. Connect and transform all financial and operational data to provide accurate reports for any audience. Work with business managers to create accurate forecasts and plans that are based on the most current assumptions and drivers. For easy analysis and reporting, centralize disparate data sources and consolidate them into one source of truth. You can track versions and have visibility into data changes. Cube's intuitive software makes it easy to do more, and faster. It's the easiest-to use FP&A platform, from onboarding a single person to a cross-functional team. -
16
Software that helps you create a collaborative budgeting process. It aligns and engages the entire company. Centage helps you create an interactive, bottoms-up AND top-down budgeting process that aligns teams and empowers them to own the plan. Build a budget for your team and not just them. Centage allows secure, cross-departmental collaboration, transforming forecasting and budgeting into a transparent process. By involving key stakeholders in every plan, you capture the insights and needs from the entire organization. This will drive alignment and accountability right away. Create budgets your team will support. Our software allows you and department leaders to work together seamlessly, ensuring that every number reflects the input of the people who understand the business the best. Build multidimensional budgets with your team and turn a daunting job into a shared goal. Aligning your company around an agreed upon financial plan will help you achieve this.
-
17
ShareControl Contract
ShareControl
We help CFOs manage contracts and agreements throughout their lifecycle using a single system. This helps them achieve financial results. Contracts are written to ensure the future success of your company. Financial reporting, cash flow, forecasts, risk and compliance can be done in a secure, complete, accurate and fast manner. Optimize routines in accounting, due diligence and compliance. Manage contract renewals and terminations as well as performance reviews proactively. Eliminate operational risks, costly penalties and lost compensation. The contracts of the company are a vision for the future of the business, with the benefits realized by the sum of all contracts with customers, employees, and suppliers. You may have signed more contracts that you realize. These contracts are often not easily accessible and can lead to inaccurate budgeting and financial reporting, as well as inaccurate cash flow forecasting. Support the contract management process with a systematic approach. -
18
Cash Flow Frog
FinBoard
$29.00/month/ user Cash flow forecasting made simple Cash Flow Frog is an easy-to-use but powerful cash flow forecasting tool and scenario planning tool. Get your forecast instantly by using it now cashflowfrog.com -
19
Calxa
Calxa
$30 per monthYou can make your management reports more efficient and produce professional-looking, more accurate insights. Good decision-making starts with accurate information that is easily understood and readable. Calxa is compatible with most accounting systems, including MYOB AccountRight and MYOB Essentials. Follow these simple steps to link once, then schedule updates monthly or weekly depending on your needs. You can import existing budgets from your accounting software or import them from a spreadsheet. Start from scratch? Use the Budget Factory Wizard to create an initial draft, then use the sophisticated Budget Builder for fine-tuning and managing in detail. To get the best of the most popular reports, you can start with a pre-built Report Bundle Kit. You can schedule delivery at the time and frequency you prefer using a workflow. Select your reports from the library and batch them to automate their delivery. -
20
CashPundit
CashPundit Technologies
Innovative Platform to Manage Cash Flows and Receivables. CashPundit provides a 360-degree view on cash flows, improves collections and helps to avoid cash flow problems. It provides a realistic view of future cash flows to help businesses make informed and proactive decisions about their future. CashPundit integrates with accounting softwares to help businesses manage their receivables, and payables efficiently. CashPundit assists business owners and CFOs to manage their cash flows, and allows them to sleep better at night. Features: Cash Flow Forecast: Forecasts cash inflows and expenditures based upon invoice due dates and promises-to-pay. It will alert you to any potential cash flow problems and help you take the necessary steps to prevent them. Reminders to Follow up: Reminds users that they must follow-up with customers regarding payment of invoices due and dates promised to pay. These reminders can be accessed on both the web and mobile devices. -
21
Drivetrain
Drivetrain
Plan together, identify bottlenecks, and make confident decisions in order to achieve your goals. Connect your marketing, finance, hiring, and sales plans quickly and accurately. Calculate metrics that are shared across geographies and market segments. Compare actuals with plans to determine which parts of your company are thriving or struggling. Predictive alerts will let you know if there are any deviations from your plan numbers. Connect and merge data from multiple sources to get a bigger picture. With the best-in class visualizations, you can customize financial reports and optimize revenue, costs & profits. Consolidate data from multiple sources to gain complete visibility of business performance. This includes ERP, CRM, billing systems, databases, Excel & CSV. -
22
Workday Adaptive Planning
Workday
2 RatingsBuild accurate planning models faster, reduce errors, and drive better decision-making. Your business is dynamic. Therefore, your forecasting and planning environment should reflect that. Workday Adaptive Planning's modeling and forecasting capabilities are world-class. You can harness world-class modeling to stay ahead of the curve in finance, sales, workforce planning, or any other area. With built-in collaboration, plan as a team. Be flexible and adapt quickly. Interactive dashboards, data visualizations and charts make it easy to improve business performance. All of your sales, financial, and management reporting software is available in the cloud. Microsoft Office Suite and OfficeConnect allow you to create stunning, immediately updated management reports. Connect to ERP, HCM and CRM for accurate and fast business planning. -
23
Wyzr
Wyzr
Get instant insights into your finances. Forecast cash flow and more. Small businesses-specific. No need for complex spreadsheets. Wyzr communicates with you in plain language. No more stressful financial guesswork. Instant answers to all your questions and clear, actionable insights. Real-time cash flow projections without the need for spreadsheets. Be prepared and know what's coming. Eliminate guesswork, tedious spreadsheets and the need to make assumptions. In just seconds, you can get a clear picture of the health of your business. Instantly access the health metrics of your business. Know what's coming to make better decisions for your business. Timely insights will help you keep your finances on track. Wyzr AI CFO provides instant cash flow and financial insight. Instantly get answers to your questions. Wyzr is available 24/7. Keep track of your finances with timely insights. -
24
FUTRLI
FUTRLI
Forecasting can be difficult and it can be difficult to keep track of. We've made it easy, live, fast, and accurate. Log in, review your cash flow and get on with your life. We have a team full-qualified business advisors who can assist you with your growth planning, operations, fundraising, or investors. Ask us anything. We have cash flow, forecasting, and reporting software that is easy to use, fast to learn, and quick to implement. Predict uses all your accounting data to create a cash flow forecast. It doesn't end there. It's possible to predict the P&L, Balance Sheet, and Cash Flow for three years in just minutes. -
25
Jirav
Jirav
$99 per monthCloud-based financial planning and analysis. You can quickly see the financial state of your business in real time to make better decisions. Jirav connects financial and operational data to allow you to easily analyze historical operations and forecast your cash flows, revenues, workforce, expenses, and bookings. Get more insight and be able to make better decisions. You can instantly see the difference between plan and actuals, rolling predictions, and downstream effects. This will help you spot opportunities in your business, teams, and departments. Visualize and share data to better understand your business. Jirav allows you to create interactive reports and send the right information directly to the right people. To make better decisions, see the future. Templates that are best practice enable you to create accurate forecasts and budgets across all areas of your business. Connect all data that affects your business. You can see real-time accounting, headcount and sales data to get complete visibility. -
26
Fathom
Fathom Applications
$44 per monthAll-in-one reporting and analysis, forecasting, and forecasting. Fathom is a business management tool that combines intuitive reporting, cash flow forecasting, and financial insight into one simple solution. Get a detailed analysis of your numbers to get a better understanding of your business performance. You can create custom management reports and share your business results in a clear and compelling way. You can create management reports for print and web in minutes. In one editor, you can combine text, charts, tables, and financial statements. Automate your reporting. You can schedule the delivery of timely reports. -
27
PackHedge™
FinLab Solutions SA
$5,000 per year 3 RatingsPackHedge™, the world's leading investment industry solution, is the best for Alternative/Hedge funds and Private Equity funds. It also works with traditional/mutual funds as well as many other investment instruments (UCITS. ETF. Equities. Real Estate. Forwards. Currencies. empowering quantitative and qualitative research and analysis, risk analysis, stress testing, scenario analysis, exposure analysis, contribution and attribution analysis, asset allocation, portfolio construction and management, shadow accounting for portfolios, managed accounts and funds of funds, with liquidity and cash flow forecasting/analysis, due diligence, document management, workflow, CRM (client relationship management), compliance, KYC and financial innovation. A collection of state-of-the-art modular software tools integrated into a single platform. This allows for unmatched data management models for multi-source, multiple-frequency, and multilingual qualitative and quantitative data. -
28
StockMarket Plus
StockMarket Plus
$24 per monthWe are the preferred share trading software for large portfolio Australian investors. We are trusted by over 60,000 customers worldwide as the backbone to their businesses. StockMarket+ is your trusted partner. Get your risk-free trial now and say goodbye to tedious share tracking spreadsheets. Your portfolio and accountant both will be grateful. Australian investors can use Share Portfolio Management Software. StockMarket Plus is an all-in-one platform that tracks, records, and forecasts your shares and dividends. It also helps you manage property financials. The best share portfolio management software Australia has available. It's easy to manage your portfolio with over 15 professional reports, cash flow forecasting, automatic broker calculation, and the ability track and log your share history. No more complicated spreadsheets, simplify and automate the process. -
29
PlanGuru
PlanGuru
$99.00/month PlanGuro allows you to create intelligent, dynamic financial forecasts. PlanGuru is a tool for accountants to prepare budget analysis, create financial forecasts, and address financial limitations in their businesses. This on-premise budgeting and business planning solution provides financial ratios, cashflow analysis, and other analytical tools that help evaluate and improve business performance. The core features include payroll utility, budget/forecast up to 10 years, archive buget, custom report builder in Excel, business valuation tool, as well as other key features. -
30
gini
gini
Replace spreadsheets that are hard-coded with data feeds from portfolio companies. Use anti-fraud algorithm to identify red flags. DCF analysis can be done instantly using public and private comps. Cash flow forecasts can be created in minutes. Every month, you'll receive a standard financial report. Update your spreadsheets automatically. Ask the right questions and identify issues early. If you are an investor and haven't discovered a financial fraud, it is likely that you haven't yet. Automate the data collection process for accurate, real-time information on your portfolio companies. Financial data in real-time on your current and future investments. Forget about hard-coded Excel sheets and reminder emails sent to your portfolio companies. Streamline the data collection process by integrating live data into your spreadsheets and models. -
31
Cashforce
Cashforce
You can slice and dice your data into user-defined dimensions to gain relevant insights about cash flows and cash forecasts. Visualize and centralize key information using your own dashboard. Your FX rate sets will allow you to monitor your currency flows and balances. Roll-up allows you to consolidate local inputs and assess your cash flows at an international level. Drill-down to analyze and investigate areas of interest up to transaction-level detail. To get a consolidated forecast, process millions of transactions. Then drill down to transaction-level detail to pinpoint inaccuracies in your cash flow forecast. Our variance analysis environment allows you to compare actuals and forecast to identify areas for improvement. This variance analysis can be used to identify inaccuracies and make improvements to your forecasting process. -
32
Dryrun
Dryrun
$99 per monthDryrun provides real-time dynamic forecasting, streamlining cash flow and sales projections with an easy-to-manage data control system. Its user-friendly, unlimited scenario modeling enables the exploration of various possible outcomes prior to making decisions. Covering everything from effective cash flow management to the consolidation of operations across multiple locations and real-time currency conversion, Dryrun makes complex financial data simple and digestible through its sharp, clear visuals. Spending a minute in Dryrun equates to an hour saved from spreadsheet work, offering instant forecasting, total data control, and vivid visuals to navigate your business forward. -
33
Fygr
Fygr
$30 per user, per monthIt's never been easier to track and forecast your cash flow. Automate your cash management with one tool, whether you are a start-up, VSE, or SMEs. Our Fygr difference is the first tool that can automatically build projections of your cash flow. It is an intelligent tool that will save you both time and money. All your banks and accounts on one platform. You can view one or more accounts at once. You can check your cash flow and avoid unnecessary overdrafts. A personalized and clear view of your cash flow is available in a matter of seconds. Our algorithms quickly provide a summary of your cash flow. You can control your cash flow and reduce costs. This tool will show you the total expenses for each category. Take a step back and examine your situation. Reduce expenses you don't need. Confidence is key to making the best decisions Our algorithms automatically generate a cash flow forecast in just a few seconds. -
34
Markitsoft Budget Controller
Markitsoft
$58 one-time paymentBudget Controller is a financial planning software for Microsoft Excel that helps managers predict the future profitability of their business. It uses business modeling techniques that quickly simulate future profit, cash flows, and other important financial ratios. This budgeting software package allows managers with or without financial knowledge to create business plan and perform "what-if" simulations. Sensitivity analyses are also available to help them understand the effects of their decisions on their businesses. Our budgeting software is a great tool for managers in all industries, including the manufacturing and services sectors. It speeds up the process of budgeting and financial planning and is a great tool for any size organization. It can be used to provide a flexible front-end to more complicated database budgeting software or group consolidation programs. This allows managers to have a comprehensive overview at a strategic level of their financial performance. -
35
ARGUS EstateMaster
Altus Group
The ARGUS EstateMaster Investment Module module is a property appraisal and investment analysis software. It can accurately assess a property's purchase or disposal value using its rental cash flow forecast for up 40 years. This is done using the income capitalization or discounted cash flow analysis. ARGUS EstateMaster Investment Appraisal allows you to calculate the property's purchase and sale values using either the discounted cash flow (DCF), or income capitalization valuation methods. This is based on the property's rental cash flow forecast for up to 40 years. Reporting on returns, such as internal rate (IRR), net value (NPV), yields and weighted lengths, can help you measure the performance of your property investment. Investment Appraisal's easy-to-use interface and tenant import wizard will provide you with an accelerated time to value. -
36
Brightflow AI
Brightflow AI
$300 per monthBrightflow AI's forecasting and finance tools will help you make data-driven decisions, control your cash flow and unlock more capital. Brightflow AI provides real-time data across all channels on a single platform to give business owners instant cash forecasts, real time business analytics and new financing options. Predict cash inflows and cash outflows to avoid a cash crunch. Better ordering and operations start with accurate forecasts. Forecast sales based on real-time data and your own patterns. Optimize your creditworthiness and prepare for a loan. -
37
Kyriba
Kyriba
Any treasury department must have visibility and clarity into cash and liquidity. It is almost impossible to support strategic business goals and financial decisions without this information. Kyriba provides accurate and timely global cash visibility. This allows treasury teams the ability to create accurate forecasts that can be trusted throughout the organization. Kyriba's cash forecasting capabilities are unrivalled. There are many options for entering, modeling, importing, and measuring the effectiveness. Clients can extend the accuracy and horizon for their cash forecasting by using this tool, whether it is day, week or month. It can be difficult and confusing to manage multiple global bank accounts. There are potential security and compliance risks. Kyriba's bank management solution eliminates these concerns. It allows for better control over all global bank account accounts, including segregation, audit trails, signatory tracking and FBAR reporting. -
38
Precise API
Forwardly
$5 per monthThe Precise API provides essential insights into the financial performance of business clients. This includes historical, real-time and forecasted data. The Precise API is compatible with all leading accounting platforms and offers real-time push-pull functionality. It's ideal for financial institutions, fintechs, and lenders who work with small to medium-sized business. Predict as a service is a powerful add-on to the Precise API that provides your clients with a premium white-label cash-flow forecasting and scenario-planning portal. Cash flow solution will keep your clients engaged with your brand and give them a reason to connect their business data. -
39
OIKOS Treasury Suite
OIKOS Software
OIKOS Software's mission involves improving process performance and increasing stakeholder satisfaction through logic and defect reduction. We produce high-quality software applications, and services. We also reduce internal cycle times that can impact cost and time value. To give a clear view on the cash-conversion process, we provide information about receivable collections, inventory turns, and payment disbursements. Reduce manual errors and redundancies, optimize financial planning, and provide multi-level cash flow forecasting. UTP reporting is also enhanced to comply with tax regulations. Every outcome is the result a process has been applied to it or determined through the application of a function. Our solutions are flexible and adaptable to change and growth. Our solutions improve quality to close and reduce Financial Reporting Fatigue™, which is the fatigue experienced by financial teams during the reporting and budgeting process. -
40
Account-Ability
Account-Ability
Integrated Financial Planning Ensure company liquidity. No matter how small or large your company is, it cannot function without cash. Why should you invest in a dedicated budgeting and reporting solution? No matter how large or small your business is, you will need financial planning and analysis. It can be difficult to prepare accurate financial statements for a group of companies. Many groups consolidate their financial information every year. The key question is the starting point for any financial plan, budget, or forecast. What is our Sales Forecast It is crucial to predict the sales pipeline. -
41
Alliance Windows Suite
United Systems & Software
Welcome to the customer information system for managing utility billing, accounts receivables, meters, and other related matters. Utility billing software/procedures can be simplified, including customer setup, meter reading interface or entry, editing, and bill print. Improve customer receivables management and payment management. This information is used to forecast cash flow, manage delinquent accounts, and provide financial reporting. Monitor meters with efficiency and maintain meter inventory. This application tracks individual meters, meter test records, historical information, and more. Integrate your customer information system (CIS) to manage customer service orders. Service dispatch, departmental collaboration, and customer relations are all made easier with real-time information about service orders. Assist customers in delivering their services and maintaining facilities using a centralized management system. -
42
Cash Flow Mojo
Money Management Solutions
Cash Flow Mojo®, a cash flow software for business owners, is a combination o tools that can help any small or medium-sized business get their finances in order and make them more profitable. The Budgeting module of the software includes a cash flow budget template. This will tell you how much cash you need each week. Calculate the amount of weekly income you will need to pay off your debt and reach other financial goals. You can highlight areas where you can reduce expenses without affecting production or sales. If necessary, create a cash flow formula that works to expand your company or get out of debt. You can make your expenses more efficient so that you can take steps to increase your profits. -
43
Planful
Planful
Planful (formerly Host Analytics), is a trusted provider of cloud-based, scalable enterprise performance management (EPM), software solutions. Planful was specifically designed for enterprises. It allows users to connect realistic modeling data to financial and operational business plans, compare projections with outcomes, and collaborate directly with key stakeholders through a single interface. Finance teams can optimize their corporate performance by leveraging Planful to automate, accelerate, and align all of their financial processes. -
44
Spreadware Budgeting
Spreadware
$289 one-time paymentSpreadware has been creating highly-acclaimed financial management and analysis tools for over twenty years. Spreadware products are used by large corporations and companies all over the globe. They are easy to use and offer advanced features and flexibility, allowing you to complete any project quickly, no matter how complex or simple. Spreadware is the publisher of the highly-acclaimed pro forma. It has been called "the best financial tool" and includes valuation, analysis, budgeting and forecasting tools. Take a look at our products to see how we can make you work easier, your project more feasible, and your business more profitable. Spreadware can help you with all your financial management needs, from forecasting, budgeting, analysis, and valuation of closely held businesses, and everything in between. -
45
SAP S/4HANA
SAP
SAP S/4HANA Intelligent ERP system for today's business. A modern ERP system with embedded AI/machine learning that is available on-premise, in the public or private clouds, or in a hybrid setting. SAP S/4HANA, an enterprise resource planning (ERP), system that is future-ready, includes intelligent technologies such as machine learning and AI. It transforms business processes using intelligent automation. It runs on SAP HANA, a market-leading in memory database that offers real time processing speeds and a simplified data model. You can choose from a variety of SAP S/4HANA ERP capabilities that all leverage the latest technologies, intelligent automation, and transform your business processes. Capabilities can be used across all business lines, including finance, supply chain and manufacturing, sales, distribution, and many more. -
46
Decimal Suite
DECIMAL
Our software solution and consulting services can help you improve your costing, budgeting, and financial dashboards. Streamline and improve your budgeting, forecasting, and budget compliance. The company was founded in 1990 under the name DECIMAL (also known by Decimal Technologies Inc.). Its mission is to provide management consulting services that help them better understand their costs and increase their profitability. In the same year, the Decimal Suite's first version was released. The software was initially created to analyze costs in the manufacturing sector. However, it quickly grew to accommodate other business sectors. The Decimal Suite was named after it over time. It is not a coincidence that both the company name as well as its flagship software feature the word “decimal”, since this sign is an important part in financial data analysis. -
47
Invest for Excel
DataPartner Software
$384.00/year/ user Invest for Excel allows you to focus on your business numbers and not on the layout or formulas. Invest for Excel, the software solution for financial modeling, valuation and capital budgeting, is trusted by more than 1,600 customers from all over the world. It allows investment analysts, managers, controllers, investors, production, marketing, engineering teams, and investors to create complete cash flow models, transparently calculate analytical calculations, and standardize investments analysis across the entire organization. -
48
Finagraph CashFlowTool
Finagraph
The ultimate cash flow management and forecasting service. Instantly see your cash flow today and tomorrow. Finagraph, a US-based company, specializes in real time financial data collection and analysis using popular accounting systems (QuickBooks. Xero. Sage. Microsoft Dynamics. And more) to provide business intelligence solutions for accountants, lenders, and businesses. Finagraph has been developing innovative financial tools, APIs and turnkey solutions for some of the most prominent financial service providers around the globe for over ten years. Strongbox, CashFlowTool and TaxReader are some of the commercial SaaS solutions. -
49
Centime
Centime
$149/month Centime is the only all-in-one cash management solution on the market. Our comprehensive solution includes accounts payable automation, accounts receivable automation, cash flow forecasting, working capital lines of credit, and business banking solutions. With full cash visibility and control, businesses can scale quickly and effectively. -
50
CashAnalytics
CashAnalytics
Don't let the spreadsheets crumble at the first mistake. You can see exactly where your cash flow is every day in each business unit on one screen. Hands-off forecasting allows you to spend less time crunching numbers and more time strategizing about where your business can go. You can monitor all units and manage cash flow within the group from one screen. Quickly find answers to your cash flow questions, and you will be able to impress your leaders. CashAnalytics can save you and your team a lot of time and give you clear visibility into current and future cash flows. CashAnalytics automates forecasting cash by reducing manual workload and reporting times by more than 90%. It connects directly to data sources, streamlining data capture from employees throughout an organization, and thereby reducing manual workload.