A clear way to manage and plan your cashflow
Trusted by 150,000+ clients
CFO empowers businesses with financial management tools to quickly and easily reconcile bank activity and understand their historical cash-flow activity and future cash requirements.
CFO solves a fundamental reporting constraint by bridging historical actual cash activity, combined with dynamically updated current activity and adjusted predictive cash flow forecasts.
CFO shows financial trends both backward and forward in time.You gain clear insights in an easy-to-understand format for non-accounting business users, not available via traditional accounting tools.
CFO reports show historical transactions organized by the user`s chart-of-accounts. Transactions and balances are reconciled daily for accurate financial positions across all financial institutions of each business.
Financial data is accessed securely via aggregation services with read-only permission granted by authorized users.
The financial forecasts use a combination of user-defined rules, together with variable rules and predictive calculations based on historical trends. We plan to add support for seasonality and external variables as well.
Multi-month and multi-year forecasts, with multiple versions, could be used to compare financial outcomes of various scenarios.
CFO system learns transaction classification rules from past data and can automatically update your financials and forecasts.
Free version available with limited features.
Get clear, up-to-date visibility of your cash-flow to make better and more accurate forecasts!
Securely connect all your financial accounts from over 15,000 available institutions with read-only permissions to gather your transactional data
Your data is automatically synchronized and updated on a daily basis, and financial data is reconciled with your all your accounts.
Uncover insights about your financial data with easy to use reports. Use that to predict future trends and improve your budgeting.