Tag: Spreadsheets


Float: Cash Flow Forecasting in Half the Time of Spreadsheets

The importance of cash flow cannot be underestimated. In fact, poor cash management is the number one reason why small businesses fail.

An accurate, up-to-date cash flow forecast can address this risk head-on as it predicts a small business’s future cash outlook by mapping when and how much money flows into and out of its bank account. A cash flow forecast will tell business owners when they will face cash shortages and surpluses – and help them plan accordingly.


Save hours of admin time with Spreadsheet-to-Xero integration

Reduce admin costs and save data entry time by setting up a bespoke integration from your spreadsheet files, like Microsoft Excel, Google Sheets or Open Office, to Xero with our Spreadsheet-to-Xero product.

Many businesses have legacy systems to process their data, using manual ledgers, spreadsheets or apps that do not integrate with Xero. They lose valuable time on data entry to input sales invoices, bills, contacts and journal entries into Xero or manually filling out the upload templates.