Cash Flow Management Software
Control working capital for your multiple entities with SoftLedger’s cash flow management software and tools like automated bank feeds and cash reconciliations.

Why cash flow management with SoftLedger?
It All Comes Down to Cash
Your ability to get clarity and insight into your financial performance in a useful format, on a timely basis, is essential for making informed, strategic business decisions.
Bolt-on reporting packages can help – but they’re entirely reliant on the underlying data and dimensions. This is especially true for multi-entity accounting needs, where financial data consolidation is essential.
This is where SoftLedger’s real-time financial reporting comes in.
Link Your Bank Accounts, Credit Cards, and More
Automatic transaction feeds simplify data input from your various financial institutions.
Thanks to our Open Banking API integration, instead of logging into the bank, your team can easily add cash receipts directly from the source.
- Import data from over 10,000 financial institutions
- Reconcile bank and credit card transactions
- Custom reporting for managing cash flows

Make Decisions That Impact Cash Flow
It’s easy to wait until the end of the month and see where your cash went, but you can’t go back in time. You need actionable data to decide what to do next.
SoftLedger gives you all the necessary tools:
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Ready to Transform Your Accounting Operations?
Book your personalized demo today and discover how SoftLedger can streamline your financial operations.