More than 1,000 SMEs use Fygr to manage and forecast their cash flow
Fygr transforms your cash management into strategic steering
No more obsolete Excel files and sleepless nights before the board meeting. Fygr centralizes and automates the optimization of your cash flow, putting you back in control.
Real-time bank synchronization
Instantly view your consolidated cash position across all your accounts and currencies.
Advanced scenarios and simulations
Save 2 hours a week on data entry and avoid manual errors.
Whether you're an executive, CFO or CPA, Fygr adapts to your specific challenges to maximize your impact.
For SME managers
Control your cash flow and plan your financial decisions with confidence. Fygr provides you with accurate forecasts that you can use with investors and banks to secure your strategic choices.
For CFOs of SMEs
Free yourself from time-consuming tasks and refocus on strategy. Fygr helps you to optimize your WCR with AI, automatically detecting areas for improvement for healthier, more sustainable cash flow.
For account professionals
Manage more files effortlessly thanks to fully automated reconciliation and reporting. Offer your customers reliable predictive analyses and concrete recommendations to optimize their cash flow.
Cash flow optimization tools are digital solutions that facilitate the day-to-day management of a company's financial flows. They centralize bank accounts, analyze cash receipts and offer essential functionalities for anticipating needs and effectively managing liquidity.
Why is cash management a strategic lever?
Good cash management ensures business stability, limits risks and improves profitability. By optimizing payment deadlines, monitoring cash receipts and controlling bank balances, the company gains visibility and can implement strategies tailored to its projected budget.
What are the most important features of cash management software?
A high-performance cash management software package must include: - automatic integration of bank accounts, - real-time monitoring of receipts and invoices, creation of a forecast budget, - automation of reconciliation processes, - control indicators to monitor business activity.
How can cash optimization tools improve financial management?
These tools enable you to quickly identify working capital requirements, monitor surplus cash and secure cash flows. By combining automation and analysis, they provide concrete levers for reducing risk and boosting profitability.
What makes using cash management software practical for small businesses?
For a very small business, having a simple solution like Fygr makes financial management more fluid. The company saves time, gains control over cash receipts and benefits from greater security in cash flow monitoring.
What are the concrete benefits of cash flow optimization?
Cash flow optimization enables you to: - better anticipate your financial situation, - reduce payment times, - limit customer-related risks, - implement appropriate strategies, - ensure optimal use of surpluses.
How does a budget forecast help you manage your cash flow?
Budgeting is an essential tool: it provides visibility on cash flow trends, secures liquidity and facilitates the implementation of appropriate strategies. It is a pillar of financial optimization and control.
What indicators should be tracked to improve cash management?
The main indicators are monitoring WCR, bank balances, cash receipts and compliance with payment deadlines. These data help to adjust processes and ensure sustainable profitability.
Are cash management tools suitable for all situations?
Yes, whether you're a VSE, SME or fast-growing company, these tools are adaptable, thanks in particular to their scalable functionalities. They provide the security and visibility essential to any business.
Why choose a financial management solution like Fygr?
Fygr offers a specialized solution for cash flow optimization. With its seamless banking integration,intuitive budgeting and clear indicators, it simplifies cash management and helps managers make better decisions.
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