Cash and Liquidity Management Software
Cash and Liquidity Management Software that gives CFOs, treasurers and controllers clear visibility over current and future cash and liquidity requirements
Cash and Liquidity Management Software that gives CFOs, treasurers and controllers clear visibility over current and future cash and liquidity requirements
The number one problem CashAnalytics solves is the significant reduction in time and effort spent on manual cash reporting and forecasting tasks. At a baseline CashAnalytics will reduce reporting time frames by 90%.
Some of the manual tasks CashAnalytics automates include:
With a robust and reliable process in place, CashAnalytics will allow you forecast and manage short term cash flow with the upmost of confidence.
Our mission is to help companies put intelligent cash flow analysis at the center of their most important business decisions. Why? A company can’t thrive or survive without a deep understanding of cash flow and how it impacts business decisions. It’s the only thing that matters in the long term.
We know the time and effort that is spent on cash flow analysis and forecasting by companies world wide, every day. Most of this time is focused on manual tasks which often produces a basic output with little or no business insight. We want to change this.
CashAnalytics Cash Flow Forecast Software will help you dramatically reduce the time and effort in your current forecasting process and more importantly increase the accuracy of your forecasting. With reliable touch-of-a button visibility over future cash flow, you will clearly understand upcoming cash and liquidity shocks and surprises.
CashAnalytics is a Cash Management Software. It automates manual cash forecasting and liquidity planning tasks such as the creation of forecasts, collection of bank account data and reporting of cash flow across an organization.
All data is captured from systems and users through a single centrally designed and controlled forecast model.
CashAnalytics is differentiated from other solutions including treasury management systems, consolidation tool and in-house built solutions in a number of different ways:
CashAnalytics can easily integrate with any source of internal or external cash flow data. Whether it is connecting directly with your banks to retrieve electronic bank statements or integrating with your ERP system to capture ledger information, CashAnalytics can automate the capture and organisation of all cash flows within your business.
We have a range of different connectivity options available including API and FTP, and have experience connecting with all of the top ERP providers in the market.
This depends on the plan and customer requirements however the below is a good guide:
Our Customer Success team provides an exceptionally high level of support to all users of CashAnalytics. This ranges from simple login issues to more complex data mapping and system integration questions.
Yes, all plans can be customized to your specific requirements. This is done by adding the following to base plans.
Contact us to get customized pricing quote based on your requirements.
No, we don’t offer a free trial as such however there are number of ways you can see and try the product before you buy, including:
We have a flexible pricing structure that is flexible to your companies needs, requirements and level of usage, simply fill out the form below and we will get in touch with you regarding pricing details.