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Float – Cash Flow Forecasting

Sound cash flow management is vital the ongoing success of every business. Float + Xero allows your business to better predict the future so they can plan & adapt accordingly.


Float takes care of tasks including:

In business cash is king. We’ve partnered with Float to help you forecast when money will come in and out of your business so you can stay ahead.

Ask any business owner and they’d love to know how much cash they will have in the bank in the coming days, weeks and months. Actually achieving an accurate forecast can be a huge challenge!

Float Cashflow Forecasting automates the process by pulling in budgeted and actual data from your Xero file in real time, giving business owners an accurate, easy to understand view of your future bank balance.

Float will automatically sync with Xero to keep your forecast up-to-date so you can model various scenarios or track performance of budgets Vs actuals.

If you’d like to learn more about Float or see if it’s right for your business contact us today.

Interested in Float?

Enter your details and we will show you how Float will transform your business.