Float is a cash flow forecasting and management tool.
Do you want any of these?
Do you want to be able to forecast your cash flow with more certainty?
Would you like to create a plan for how you intend to spend your cash?
Do you want to be able to see the impact of potential spending decisions on your cash flow?
Would like to be able to create powerful visuals from your cash flow reports?
Our Services
Float Implementation
Float Integration
Float Data Import
Float Training
Float Support
What can Float do for you?
Daily Cash Flow Management
See on a daily level what bills, invoices and budgets are scheduled and how they interact.
Cash Flow Forecasting
View exactly what your cash flow will look like in several months time or even longer.
Effective Budgeting
Create budgets and track your spending to ensure you stay in control at all times and avoid nasty surprises.
Scenario Modelling
Test different scenarios to see how spending decisions, potential new client & unexpected costs will impact your business.
Exporting & Reporting
Create powerful visuals to present your cash flow and help work with your accountant to plan spending.
Accounting Software Integration
Integrate Float with your accounting software for automatic syncing of your figures.
Xero Integration

Contact OutserveWeb
Telephone
01785 244 080
Address:
Schott House, Drummond Road, Stafford, ST16 3EL
Email info@outserveweb.co.uk
Outserve Limited registered in England and Wales
Reg. no. 6648132 | VAT no GB 935 8635 85
Reg. Address: The Nook, Blithbury Road, Rugeley, Staffordshire, United Kingdom, WS15 3HQ
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