Know What Cash You Will Actually Collect.

CashFlow+ gives finance teams real receivables visibility and structured follow-ups - without ERP integrations or IT projects.

CashFlow+ dashboard preview

THE PROBLEM

Most cash surprises are not revenue problems. They are visibility problems.

Late payments distort forecasts. AR teams chase manually. Finance leaders make decisions based on assumptions instead of collection behavior.

Forecasts based on best guesses

Payment plans or milestone billing

Manual reminder processes

Limited forecasting accuracy

HOW IT WORKS

How CashFlow+ Works

Upload your invoice data

Export 12 months of invoices and upload as CSV.

See your receivables in action

Dashboards show aging, trends, and expected cash.

Activate structured follow-ups

Automated reminders with full audit control.

Improve forecasting discipline

See realistic 30 / 60 / 90-day cash expectations.

How CashFlow+ works preview

GET STARTED TODAY

What You Get

Dashboard 1
Dashboard 2
Dashboard 3
  • Dashboards live in your first session
  • Structured revenue activation support
  • Automated reminders with control
  • Monthly performance check-ins
  • Clear upgrade path to integrations if required

GET STARTED TODAY

If nothing changes:

  • Finance teams keep chasing manually
  • Forecast errors compound
  • Cash timing surprises continue
  • Staff time remains reactive

CashFlow+ turns collections into a structured process.

Finance team reviewing charts
Pricing

CashFlow+ Revenue Activation

Activation

Activation: $750 (one-time)

Subscription: $1,750/month

3-month minimum

Includes
  • Guided activation sessions
  • Invoice ingestion
  • Forecast setup
  • Structured Monthly check-ins