This a list of Cash Flow Forecasting software that integrates with Microsoft Excel. Use the filters on the left to add additional filters for products that have integrations with Microsoft Excel. View the products that work with Microsoft Excel in the table below.
Cash flow forecasting software helps businesses predict and manage their cash inflows and outflows over a specific period. By analyzing past financial data and projecting future trends, the software provides insights into liquidity, helping businesses plan for upcoming expenses and ensure they have enough cash to meet obligations. It typically offers features like real-time tracking, scenario planning, and integration with accounting software to improve accuracy. With customizable dashboards, businesses can visualize their cash flow and identify potential shortfalls or surpluses. This tool is essential for maintaining financial stability, preventing cash flow crises, and making informed business decisions. Compare and read user reviews of the best Cash Flow Forecasting software for Microsoft Excel currently available using the table below. This list is updated regularly.
Workday
RIB Software
Fathom Applications
Agicap
Castaway
Nomentia
Savant
ShareControl
tidely
Planful