Cash Flow Frog automatically creates forecasts specifically designed for your business. All you need to do is connect with your accounting software (QuickBooks Online, QuickBooks Desktop, Xero) and our algorithms will analyze your data and provide a projection of your cash-flow balance.
Keep your forecasts synced and updated 24/7.
Cash Flow Frog regularly syncs with QuickBooks or Xero, so your cash flow forecasts stay up-to-date.
New bills, newly issued invoices, estimates, or any other kind of transaction are automatically synced and integrated into your forecast.
Simulate the consequences of your decisions
Test how the decisions your business is facing can affect your cash balance moving forward
Test the impact of changes in payroll, outstanding bills and invoices, owners draw, and much more.
Support and 1X1 training
Our dedicated support and success team will guide you step by step
- live chat
- 1X1 training sessions
- Explainer videos
- Help articles
- Email support
Visually see your cash flow.
See your cash flow curve going forward. Visual graphs make it easier to see trends and understand how your business is affected by different processes.
Cash Flow Frog is a powerful tool that enables you to answer ‘what if’ questions and test different future scenarios.
Pick your plan
"Finally found one that works for us!"
"We tried several and finally found one that actually gave us what we needed - great UX, intuitive software, accurate forecasting."
“Extremely useful, helping me maintain my cash flow through an aggressive growth period, evaluate the financial planning for the future, and sleep better at night."
"I used to spend HOURS doing cash flow reports on excel. This tool is invaluable. I also find the customer support is above and beyond anything I've ever experienced"
"The missing piece to the puzzle"
"I've been trying to find an efficient and simplified way to forecast our cash flow and expense, this is the complete solution. A true lifesaver!"