More than 1,000 SMEs use Fygr to manage and forecast their cash flow
A complete bank account management solution for your business
Fygr completely simplifies the management of your business bank accounts. Our software centralizes, automates and secures all your financial flows, so you can concentrate on analysis and growth.
Multi-institution banking synchronization
Connect all your accounts in one click and see your global position instantly.
Multi-entity consolidation
Manage several companies from a single interface, with consolidated or detailed views.
Native multi-currency management
Manage your foreign currency accounts with automatic conversion and rate tracking.
Fygr adapts to the specific needs of each profile in your company. Find out how our bank account management software transforms your daily life.
For SME managers
Make informed decisions with a clear, up-to-date view of your available cash. Instantly identify investment opportunities or financing needs to maintain growth without cash surprises.
For CFOs of SMEs
Automate your bank reconciliations and free up 2 hours a week for strategic analysis. Produce reliable reports in just a few clicks for the management committee, with full traceability and customizable exports.
For account professionals
Efficiently manage multiple customer bank accounts from a single interface. Access real-time data to proactively advise your customers on their cash management and anticipate their financing needs.
What's the best business bank account management software?
The best business bank account management software isone that combines simplicity, security and rich functionality. In this sense, FYGR offers you a modern platform with an intuitive interface, designed for entrepreneurs, SMEs and even micro-businesses. Our banking software consolidates your bank accounts, centralizes your invoices and helps you manage your cash flow thanks to essential functions such as forecasted balance monitoring and automated reconciliations.
How can you manage your business bank accounts efficiently?
Managing a business bank account takes time and discipline. With a business bank account management software like FYGR, you can now automate the retrieval of your transactions, categorize payments, track your invoices and control your billing in real time. This management solution enables you to anticipate your cash flow needs, make transfers more easily and ensure better compliance with your accountant.
Why choose banking software like FYGR rather than a spreadsheet?
A spreadsheet is limited and time-consuming. Banking software such as FYGR offers you a secure, dedicated cash management solution. You benefit from a clear interface, centralized monitoring of all your bank accounts, invoice management and a consolidated view of your forecasted balances. This tool is also designed to enhance collaboration with your users, while guaranteeing regulatory compliance.
What are the main features of a complete business management software package like FYGR?
FYGR goes beyond simple bank tracking. It is a complete business management software that integrates: - Centralized management of bank accounts and invoices, - Editing and sending of quotes, - Billing and payment management, - A CRM module for customer follow-up, -Accounting automation features, - Secure access sharing with your accountant.
These essential features make FYGR the best bank account management software adapted to the needs of modern businesses.
How much does banking software like FYGR cost?
The price of bank management software depends on the features included and the number of users. FYGR offers packages to suit every size of business, from micro-businesses to SMEs, with transparent subscriptions. For exact prices, you can request a customized quote based on your invoicing, cash management and add-on module requirements.
Can FYGR replace my current accounting tool?
FYGR is not pure accounting software, but it can effectively complement your existing solution. Thanks to its automatic data export function, your accountant has all the information he needs to ensure that your entries are correct. That's why FYGR is the ideal tool for managing cash flow and monitoring bank accounts, while facilitating communication with your firm.
Why choose FYGR for cash management?
Because FYGR centralizes everything to do with your finances: monitoring bank accounts, issuing invoices, creating quotations, tracking payments and forecasting cash flow. Thanks to its modern interface and intuitive platform, FYGR is the ally of managers looking for a high-performance, reliable management solution.
Discover all our features
A simple yet comprehensive solution for monitoring, managing, forecasting and investing your SME's cash flow.
Centralized banking
Automated analytical tracking
Cash flow forecast
Cash investments
Scenarios
Reporting
Consolidation
Multi-currency
Manage your cash flow simply with Fygr
⚙️ Automate your cash flow monitoring 📈 Build a reliable forecast 👍 And make the right decisions