Cash Flow Frog
Generate dynamic cash flow forecasts to budget smarter for your business
You run a great business, but as far as finances go, you’re still a money-under-the-mattress type of planner. (Loose change under couch cushions? That's interest.)
Keeping your business afloat comes with enough headaches, let alone hours spent on spreadsheets and accounting.
What if you could keep on top of your cash flow and plan ahead without having to lift a finger?
Introducing Cash Flow Frog.
TL;DR
Overview
Cash Flow Frog is a business finance planning tool that integrates with your favorite accounting software to help keep tabs on your cash flow.
You don’t need to sweat over clunky spreadsheets and tedious data entry to know where your business is headed.
By connecting your accounting software to Cash Flow Frog, you can automatically generate cash flow forecasts designed for your business.
Cash Flow Frog integrates seamlessly with QuickBooks, Xero, FreshBooks, and Zapier, so your reports are always relevant and up-to-date.
On the dashboard, you can view and customize your forecasts with daily, weekly, and monthly breakdowns.
Connect to your accounting software and start automatically generating up-to-date cash flow forecasts.
Cash Flow Frog helps you plan smarter financial decisions by visualizing their impact on your business.
You can simulate multiple what-if scenarios with customizable graphs that are easy to understand.
You’ll also be able to test certain actions without affecting your accounting software data, so you know when it’s the right time to pay a bill, hire a new employee, or expand.
Just create a new scenario and Cash Flow Frog generates a chart simulating consequences over time.
Simulate and visualize financial scenarios to see how they’ll affect your cash flow.
Cash Flow Frog is there for you while you scale, so you can stay on track to reach your financial goals.
New transactions are automatically synced and integrated into your forecast, so you can monitor planned versus actual cash flow performance in real-time.
Plus, you can export and share branded PDF cash flow reports to keep stakeholders in the loop.
And Cash Flow Frog’s intuitive editor makes it easy to create custom cash flow reports to share with your colleagues and clients for better transparency.
Track your planned versus actual cash flow in real time and share your reports.
Financial planning is key to business development, and Cash Flow Frog helps you strategize with flexible cash flow projections.
By adding projections to your forecast like payroll and anticipated sales, you can weigh your expenses and identify potential shortfalls.
You can also create and edit projections, either manually or automatically based on your accounting data.
You’ll even be able to improve your financial planning by getting to know your customers with Cash Flow Frog’s customer insights and ranking system.
Easily add and edit projections in your forecast from your accounting data.
To avoid stressing about your business finances, you need a reliable tool that keeps you both up-to-date and prepared for the future. (Like the financial equivalent of a fanny pack.)
Cash Flow Frog lets you automatically generate forecasts and add projections, so you’re always on top of the cash coming in and out of your business.
Ditch the data entry for a simple planning solution.
Get lifetime access to Cash Flow Frog today!
Plans & features
Deal terms & conditions
- Lifetime access to Cash Flow Frog
- All future Standard Plan updates
- Tier 3 customers will get access to future Pro Plan features (excluding 1:1 training with a Cash Flow expert)
- No codes, no stacking—just choose the plan that’s right for you
- You must activate your license within 60 days of purchase
- Ability to upgrade or downgrade between 3 license tiers
- GDPR compliant
- Only for new Cash Flow Frog users who do not have existing accounts
60 day money-back guarantee. Try it out for 2 months to make sure it's right for you!
Features included in all plans
- Integrates with Xero, QuickBooks Online, QuickBooks Desktop, FreshBooks, Zapier, and Excel
- Account mapping
- Cash balance
- Transaction table
- Account overview
- Daily/weekly/monthly cash flow breakdown
- Cash in and cash out
- Notes
- History up to one year