Back to Cash Flow Frog
Perplexity (Sonar Pro)June 6, 2026Cash Flow Frog mentioned

What are the best cash flow management software?

Full AI Response

The best cash flow management software depends mainly on your business size and complexity, but leading options frequently recommended in 2025–2026 include **QuickBooks Cash Flow**, **Sage Cash Management**, **HighRadius**, **Fathom**, **Helm**, **Cash Flow Frog**, **LivePlan**, and **Xero’s cash flow tools**.[1][2][3][4][5][6][7][8]

Below is a structured overview so you can match tools to your needs.

---

## 1. Best all‑rounders for small & mid‑size businesses

**QuickBooks Cash Flow (Intuit)**

- Built into QuickBooks Online, so ideal if you already use it for accounting.[8]

- **Cash Flow Planner** gives an interactive, short‑term cash view, showing predicted inflows/outflows based on bills, invoices, and connected bank accounts.[8]

- Scenario features to test “what if I pay this bill late / get this invoice paid early?”[8]

- Strong choice for micro‑ to mid‑size businesses that want simple, integrated cash visibility rather than a separate system.

**Sage Cash Management**

- Part of Sage’s accounting suite, aimed at growing SMBs and mid‑market.[3]

- Real‑time cash positions plus **multiple scenario modeling** and planning tools for forecasting and “what‑if” analysis.[3]

- Good fit if you are already on Sage or planning a full accounting + cash solution rather than a standalone add‑on.

---

## 2. Advanced / corporate‑grade cash management

**HighRadius Treasury & Cash Flow Management**

- Designed for larger or more complex organizations with multi‑entity or multi‑bank setups.[7]

- Offers **automated cash positioning**, bank/ERP connectivity, and AI‑driven forecasts.[7]

- Focused on treasury teams that need daily cash visibility, liquidity planning, and automation of cash consolidation.[7]

Choose this if you are mid‑market/enterprise, handle multiple banks and currencies, and need treasury‑level controls.

---

## 3. Specialist cash flow forecasting & FP&A add‑ons

These tools typically **connect to QuickBooks, Xero, MYOB, or Excel** to provide better forecasting, dashboards, and scenario planning than you get in core accounting packages.

**Fathom**

- Described as a three‑way cash flow forecasting tool (integrating P&L, balance sheet, and cash).[4]

- Syncs with QuickBooks, Xero, MYOB and Excel, and offers **visual dashboards** and “visually stunning cash flow forecasts.”[4]

- Good for accountants, CFOs, and advisors managing multiple clients and needing robust reporting plus forecasting.[1][4]

**Helm**

- Built specifically for small‑business cash flow forecasting and scenario planning.[1]

- Often recommended as one of the top cash flow tools for SMBs, with strong visual short‑term forecasting and planning.[1]

- Fit: owner‑managed businesses and advisors who want to see weekly cash movements and active “runway” views.

**Cash Flow Frog**

- Dedicated **cash flow forecasting** platform: plan payroll, manage expenses, forecast cash, and model growth.[5]

- Integrates with major accounting systems; focuses on clear timelines and “expected cash on hand” at any date.[1][5]

- Good for service businesses, agencies, and small e‑commerce operations needing simple, forward‑looking cash planning.

**LivePlan**

- Business planning and budgeting platform with strong **cash flow forecast** capabilities.[6]

- Lets you project cash and profit, and run contingency scenarios (e.g., revenue drops, hiring plans).[6]

- Particularly useful for startups, fundraising, and bank‑ready plans where you need narrative + financials together.

---

## 4. Accounting platforms with built‑in cash flow tools

**Xero Short‑Term Cash Flow & related tools**

- Xero offers a **short‑term cash flow tool** providing a visual 7–30 day look at expected bank balance based on upcoming bills and invoices.[1]

- Good for small businesses already using Xero, giving a quick view of whether you can cover near‑term obligations without adding another app.

---

## 5. “Best” choice by use case

Use this as a quick guide:

| Use case / profile | Recommended tools (primary choices) |

| --- | --- |

| Solo / micro business on QuickBooks | **QuickBooks Cash Flow Planner**[8] |

| Solo / micro business on Xero | **Xero Short‑Term Cash Flow**, plus **Helm** or **Cash Flow Frog** for deeper forecasting[1][5] |

| Growing SMB needing planning + reporting | **Fathom**, **LivePlan**, or **Sage Cash Management**[3][4][6] |

| Startup doing fundraising / bank loan | **LivePlan** (for plan + financial model)[6], optionally **Fathom** for reporting[4] |

| Accountant / virtual CFO with many clients | **Fathom**, **Helm**, **Cash Flow Frog**[1][4][5] |

| Mid‑market / enterprise with treasury needs | **HighRadius Cash Flow Management**[7], or Sage enterprise offerings[3] |

---

## 6. How to choose (key criteria)

When you evaluate “best” for your situation, compare tools on:

- **Integration**: Does it connect natively to your accounting stack (QuickBooks, Xero, Sage, MYOB, ERP)?[3][4][5][8]

- **Forecasting depth**:

- Simple short‑term calendar of inflows/outflows (QuickBooks, Xero)[1][8]

- Multi‑scenario, 3‑statement forecasting (Fathom, LivePlan, Sage, HighRadius)[3][4][6][7]

- **Complexity & team size**:

- Small teams: QuickBooks, Xero, Cash Flow Frog, Helm[1][5][8]

- Finance teams / CFO: Fathom, LivePlan, Sage[3][4][6]

- Treasury / enterprise: HighRadius[7]

- **Reporting & visuals**: Fathom is particularly strong here, with dashboard‑style visuals and KPI reporting.[4]

- **Budget**: Standalone forecasting tools (Helm, Cash Flow Frog, LivePlan, Fathom) typically charge per organization or per seat; integrated tools (QuickBooks/Xero/Sage) come as part of broader subscriptions.[1][3][4][5][6][8]

If you tell me your business size, accounting system, and whether you need short‑term visibility only or full scenario modeling, I can narrow this to 2–3 specific recommendations.