Audience

Cash flow forecasting software for businesses

About Cash Forecaster

Imagine having an easy to use and quick to get started cash flow software. Cash Forecaster is cash flow forecasting software designed with the user in mind. Imagine yourself saving time setting up lengthy and complicated spreadsheets with our simple cash flow forecasting software. Picture yourself never having to calculate complex Excel formulas ever again. Let yourself imagine for a moment about all those headaches you will avoid. Plus no more lost time spent calculating which numbers to include on which reports. Imagine how much time you will save when you can review your business’s best and worst-case scenarios with the built-in sensitivity analysis tool. This makes doing ‘what-if’ scenarios fast and easy.

Pricing

Starting Price:
$196.20 one-time payment

Integrations

No integrations listed.

Ratings/Reviews

Overall 0.0 / 5
ease 0.0 / 5
features 0.0 / 5
design 0.0 / 5
support 0.0 / 5

This software hasn't been reviewed yet. Be the first to provide a review:

Review this Software

Company Information

Bowraven
United Kingdom
www.bowraven.com

Videos and Screen Captures

You Might Also Like
Top-Rated Free CRM Software Icon
Top-Rated Free CRM Software

216,000+ customers in over 135 countries grow their businesses with HubSpot

HubSpot is an AI-powered customer platform with all the software, integrations, and resources you need to connect your marketing, sales, and customer service. HubSpot's connected platform enables you to grow your business faster by focusing on what matters most: your customers.

Product Details

Platforms Supported
Windows
Support
Phone Support
Online

Cash Forecaster Frequently Asked Questions

Q: What kinds of users and organization types does Cash Forecaster work with?
Q: What languages does Cash Forecaster support in their product?
Q: What kind of support options does Cash Forecaster offer?
Q: How much does Cash Forecaster cost?

Cash Forecaster Product Features

Budgeting

Asset Planning
Balance Sheet
Capital Asset Planning
Cash Management
"What If" Scenarios
Consolidation / Roll-Up
Forecasting
General Ledger
Income Statements
Multi-Company
Multi-Department / Project
Profit / Loss Statement
Project Budgeting
Run Rate Tracking
Version Control