Budgyt
Budgyt is an accessible and user-friendly budgeting tool designed specifically for small businesses. This cloud-based platform streamlines the budgeting process for small to medium enterprises and non-profit organizations, effectively reducing the vulnerabilities associated with conventional spreadsheets. By using Budgyt, organizations can cut down up to 80% on the time and costs associated with overseeing various budgets across different departments or projects. Key features include data sheets, formula management, and user controls, ensuring a comprehensive budgeting experience. Additionally, the software offers robust capabilities like reporting, version control, intuitive dashboards, and customizable user permissions for enhanced collaboration and oversight. The seamless integration of these features makes Budgyt an essential tool for efficient financial management.
Learn more
ZenTreasury
ZenTreasury provides CFOs, treasurers, and finance experts with tools to enhance financial operations through a comprehensive Treasury Management System (TMS). Our platform simplifies processes such as cash forecasting, lease accounting, and treasury workflows, offering real-time insights and automation that lessen complexity while ensuring compliance.
You can begin with our Freemium plan, ideal for cash forecasting and liquidity management, or choose one of our Premium plans that include advanced features tailored for expanding businesses. The lease accounting module of ZenTreasury facilitates adherence to IFRS 16, automating amortization schedules, tracking key dates, supporting multiple currencies, and managing cost center allocations, all backed by validation from a reputable international audit firm for reliable accuracy.
ZenTreasury also enhances treasury functions by providing effective management of financial contracts, risk mitigation strategies, and optimization of cash flow through robust reporting and analytical capabilities.
As a secure SaaS solution or as a Private Cloud deployment on Microsoft Azure, AWS, or Google Cloud, ZenTreasury offers both flexibility and enterprise-grade security to meet your requirements. By choosing ZenTreasury, you join an expanding community of finance professionals who are revolutionizing their operational practices and achieving greater efficiency.
Learn more
Castaway
Castaway provides a sophisticated and effective solution for cash flow forecasting that is both thorough and user-friendly. By leveraging this software, you can make well-informed decisions that not only benefit your business operations but also provide significant value to your clients. Its innovative 3-way reporting system combined with a robust business modeling framework guarantees that your forecasts are precise, adhering to double-entry accounting principles. With its visually appealing reports and dynamic dashboards, Castaway allows you to compellingly convey the financial narrative of your organization. This tool equips you with the necessary insights and foresight to assess your cash flow, enabling you to generate flexible reports for banks and stakeholders alike. By taking control of your financial data, you can engage in strategic planning that helps identify potential growth opportunities for your business. Transitioning from outdated and complicated spreadsheets to more streamlined files enhances your ability to perform powerful calculations. Castaway's strong reporting capabilities, grounded in fundamental accounting principles, facilitate actuals and variance analysis, which aids in re-forecasting and fosters more informed decision-making. Moreover, the use of this tool can lead to a deeper understanding of financial trends, ultimately empowering businesses to achieve both financial clarity and operational excellence while navigating complex market conditions.
Learn more
Float
Reliable cash flow forecasting is essential for every business, particularly since a staggering 82% of failing companies cite inadequate cash flow visibility as a key reason for their demise. Float offers a comprehensive view of your cash flow situation by analyzing historical, current, and projected cash movements. This clarity enables you to prepare for various scenarios, make well-informed choices, and pave the way for a more prosperous future for your enterprise. By utilizing Float, you can adopt a more strategic and forward-thinking approach to cash management, ensuring your business remains resilient and ready to seize opportunities.
Learn more