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Float Cash Flow Forecasting

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What is Float Cash Flow Forecasting?

Float is an award-winning operational cash flow forecasting add-on for Xero, Quickbooks Online, and FreeAgent. Forecasting in Float is visual, accurate and intuitive, taking a fraction of the time compared to spreadsheets. Our daily sync with your accounting software means manually updating your forecast is a thing of the past. We pull in all information on bills, invoices and bank transactions and combine them with your own projections to provide you with a forecast you can rely on. Key Features - 'What-if'? scenario planning tool - Weekly, fortnightly, monthly, quarterly, and annually budgeting options - Budget vs actuals - Bill and invoice manager - Export to PDF & CSV Start your 14-day free trial here: https://floatapp.com/sign_up Or if you're an accountant or bookkeeper you can join our partner programme here: https://floatapp.com/partners

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