Simple, reliable cash management software for SMEs

Fygr is the cash management software for SMEs, designed to give you a clear view of your financial flows and anticipate the decisions that will secure your growth.
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More than 1,000 SMEs use Fygr to manage and forecast their cash flow

Manage cash flow and forecasts: simply, quickly and confidently with Fygr

Fygr concentrates all the real features of a treasury software for SMEs. No overload, just what you need to manage your cash flow and make decisions with confidence.

Automatic bank synchronization

Connect all your banks in just a few clicks. View all your accounts in one place: no need to consult each bank statement individually.

Customized cash flow forecasts

Anticipate your cash flow and avoid surprises: see in advance if you're going to have a cash flow problem, and decide on your actions (customer reminders, supplier negotiations, etc.) in good time.

Scenarios & tests for informed decision-making

Model several versions of the future in just a few clicks. Modify variables such as customer payment terms and forecasted expenses, and see the impact on your cash flow before making any commitments.

Why do CFOs and executives choose Fygr?

Depending on your role in SME financial management, Fygr addresses different issues. Here are the key benefits according to your profile.
Fygr, the cash management software that simplifies everyone's day-to-day life

For SME managers

Solve your treasurer's worries one by one: Fygr gives you clear visibility of your cash flow, so you can manage your growth without fear of a surprise overdraft. Gain peace of mind and financial responsibility.
Fygr, the cash management software that simplifies everyone's day-to-day life

For CFOs of SMEs

Automate reconciliations and reduce manual work: with Fygr, you free yourself from repetitive tasks, leaving more time for strategic analysis and financing decisions.

For account professionals

Deliver professional-quality business plans and forecasts, without relying on Excel templates reinvented for each customer. Fygr enables you to offer richer, more cost-effective advisory services to your SME customers.

FAQ

What's the best cash management software for SMEs?
The best cash management software for SMEs is one that combines simplicity, automation and visibility. A solution like FYGR stands out for its essential functionalities, tailored to the needs of VSEs and SMEs: real-time monitoring of flows, automatic forecasting, bank synchronization and clear reporting.
What are the main cash management tools?
Cash management tools include: bank synchronization, centralized cash receipts and payments, reliable reporting and cash forecasting. Corporate treasury software like FYGR brings these tools together in a single platform to facilitate day-to-day management.
Why choose corporate treasury software rather than Excel?
Excel remains a basic alternative, but it lacks automation of repetitive tasks, reliability and integration with other tools. Corporate treasury software such as FYGR offers a modern interface, full automation and secure access to data, which also promotes rapid decision-making.
How much does an average quote for small business cash management software cost?
Pricing depends on the features and level of management required. With FYGR, you can obtain a personalized quote based on the size of your company. Transparent pricing and adaptation to your cash flow requirements make FYGR a flexible and competitive solution.
How does FYGR facilitate day-to-day cash management?
FYGR offers you smoother cash management thanks to : An intuitive platform,automated cash receipts, payments and forecasts ,secure access to financial data andone-click reports for greater visibility.
How do you integrate treasury software with ERP or CRM?
FYGR integrates easily with your existing management tools. This synchronization gives you a global, up-to-date view of your cash flow, without double entry, errors or wasted time.
What benefits can you expect from cash management software for VSEs and SMEs?
For a small or medium-sized business, the advantages are many: time-saving automation, immediate visibility of cash flow, reliable forecasts ... All for informed decision-making. With all this in mind, FYGR is positioned as one of the best cash management software packages to support your company's growth.
Does FYGR offer customized cash flow reports?
Yes, FYGR's advanced features enable you to create reports tailored to your specific needs. You can, for example, track your receipts, payments and forecasts according to your priorities. These customized reports improve your visibility and support your strategic decisions.
Can FYGR support the growth of fast-growing companies?
Absolutely. FYGR is designed to grow with your business. Whether you're a very small company just starting out, or a fast-growing medium-sized business, our solution adapts to your needs. Its scalable functionalities, automation of repetitive tasks and ability to centralize cash management enable us to support your development without loss of visibility.

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
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