Float Cash Flow Forecasting
@floatapp.com
Connected to your accounting software, Float turns live transaction data into a rolling cash flow forecast your finance team can trust. 14-day free trial. No credit card required.
Float Cash Flow Forecasting's Company Logos
Float Cash Flow Forecasting's Brand Colors
Hex Code
Color name
RGB
HSL
CMYK
#29B6D0
Scooter
41, 182, 208
189, 67, 49
80, 12, 0, 18
#FFFFFF
White
255, 255, 255
0, 0, 100
0, 0, 0, 0
#00825E
Deep Sea
0, 130, 94
163, 100, 25
100, 0, 28, 49
About Float Cash Flow Forecasting
Float is cash flow management software from The Float Yard Ltd, designed to help finance teams and advisors understand and manage cash with greater confidence. It connects to accounting platforms including Xero and QuickBooks Online, using live transaction data to create rolling forecasts. Sage Intacct is listed as coming soon. Float brings cash balances, invoices, bills and transactions into a shared view, helping teams monitor their position and anticipate payment timing risks.
Users can switch between weekly, 13-week and monthly forecasts, with monthly planning extending up to three years. Scenario planning tools let teams model changes to income and costs, while features for accounts receivable and payable visibility show when invoices are expected to be paid and bills are due. Float also supports multi-entity consolidation, reporting, collaboration, role-based permissions and notifications. Data syncs with connected accounting platforms every 24 hours, with manual syncing also available.
The platform is positioned as a practical cash decision layer between accounting and reporting, helping organisations move beyond manually maintained spreadsheets.
Company type
Privately Held
Year founded
2010
Company size
11-50 employees
