What is Finagraph CashFlowTool?

Explore the leading solution for proficient cash flow management and forecasting. Finagraph, located in the U.S., stands out by providing instant visibility into both current and projected cash flow through the real-time gathering and examination of financial data from popular accounting systems like QuickBooks, Xero, Sage, and Microsoft Dynamics, thereby equipping lenders, accountants, and businesses with sophisticated business intelligence tools. Over its ten-year journey, Finagraph has introduced innovative financial applications, APIs, and all-encompassing solutions for major financial service providers worldwide. Their suite of commercial SaaS products features Strongbox, CashFlowTool, and TaxReader, with Strongbox being a crucial interface that delivers a holistic financial snapshot of your business clients, facilitating a smooth one-click process and immediate access to essential data and insights. This capability significantly accelerates the assessment and supervision of clients' financial circumstances, ultimately improving decision-making and strategic development for users in various sectors. Furthermore, these tools help foster stronger relationships between service providers and their clients by enabling more informed discussions around financial health and planning.

Screenshots and Video

Finagraph CashFlowTool Screenshot 1

Company Facts

Company Name:
Finagraph
Date Founded:
2010
Company Location:
United States
Company Website:
www.finagraph.com/cashflowtool

Product Details

Deployment
SaaS
iPhone
iPad
Training Options
Documentation Hub
Online Training
Webinars
Support
Web-Based Support

Product Details

Target Company Sizes
Individual
1-10
11-50
51-200
201-500
501-1000
1001-5000
5001-10000
10001+
Target Organization Types
Mid Size Business
Small Business
Enterprise
Freelance
Nonprofit
Government
Startup
Supported Languages
English

Finagraph CashFlowTool Categories and Features

Budgeting Software

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