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Fygr

by Fygr · Since 2019
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ActiveAvailable globallyCloud
Quick facts
VendorFygr
Year launched2019
StatusActive
Location22, Rue de la Victoire, Paris, Île-de-France 75009, FR
Countries servedGlobal
Languages6
Integrations26+
Free tier
Free trialYES
Contact salesYES

About Fygr

Fygr is a cash flow forecasting software from Fygr that helps build the cash flow forecast and scenarios quickly. It includes tracking discrepancies between forecast and actual cash flow, support for multiple bank accounts, and a clear, personalized view of the cash flow so users can make informed financial decisions. This eliminates the need for complex Excel spreadsheets, simplifying the process of cash flow management. Fygr allows users to monitor their cash flow in real-time and provides insights for cost control. Key capabilities: cash flow forecasting multi-account integration discrepancy tracking personalized dashboards cost management Best for: businesses and individuals that need accurate cash flow tracking and forecasting.

Fygr is a powerful, pure-play Cash Flow Management and Forecasting software engineered to solve the chronic cash flow anxiety faced by SMEs and startups. Its greatest strength is its AI-driven forecasting engine, which automatically builds reliable projections by consolidating multi-bank and multi-currency data. The platform’s advanced scenario planning and native multi-entity consolidation capabilities provide business leaders and CFOs with the clarity and control needed to make rapid, informed strategic decisions. While its strongest integrations and banking focus are currently within the European market, its comprehensive feature set, ease of use, and dedication to treasury management make it an excellent, modern alternative to complex spreadsheets for any growing business seeking to secure and optimize its financial future.

Pros & Cons

What users like
  • +It is a highly focused, less complex tool
  • +Allows users to easily create and simulate unlimited "what-if" scenarios
  • +Provides CEOs and CFOs with a real-time, and accurate view of the consolidated cash position for the company
  • +Automatically generate highly reliable cash flow forecasts from historical data
What users flag
  • It is heavily geared towards European countries despite being Global
  • Steep learning curve for new users
  • Relies on external services for data synchronization

Features

Key features

AI-Driven Cash Flow Forecasting
Automatically generates reliable cash flow projections in seconds using Data Science methods (NLP, Time Series) on historical bank and invoice data, significantly reducing manual effort and forecast errors.
Centralized Multi-Bank/Multi-Currency Sync
Aggregates transactions from unlimited bank accounts and accounting tools via secure aggregators, providing a real-time, consolidated view of cash positions in any currency.
Customizable Scenario Planning
Allows users to easily create and simulate unlimited "what-if" scenarios (e.g., high growth, fund raising, low sales) and visualize their impact on the cash flow forecast instantly.
Multi-Entity and Consolidation
Supports companies managing multiple entities (group, subsidiaries, franchises) by centralizing all financial information and providing a unified, consolidated view of the group's finances.

Additional features

Automated Transaction Categorization
Algorithms automatically categorize bank transactions to provide a clear overview of cash inflows and outflows and help identify spending patterns.
Expense Management
Allows easy viewing of total expenses by custom category, project, or cost center to help control cash flow and eliminate unnecessary costs.
Automated VAT Estimation
Simplifies tax management by providing an automated estimation of VAT, aiding compliance and optimizing tax planning.
Invoice Tracking Interface
Integrates with accounting tools to retrieve supplier and customer invoices, projecting their due dates onto the cash flow plan automatically.
Advanced Formulas
Allows finance teams to use personalized, advanced formulas to model specific financial flows and perform in-depth analysis.
Cash Placement/Investment Optimization
Supports the optimization of cash by identifying surplus funds that can be transferred to secure investment accounts with real-time visibility (via Libeo integration).
Bank Reconciliation
Provides tools for automated and manual bank reconciliation to quickly identify discrepancies between actual and forecast figures.
Mobile Access and Receipt Capture
The mobile app allows users to access account balances, categorize transactions, and take photos of receipts for better documentation on the go.

Pricing

Free trial
Free version
Request a quote
Promo Offer

Countries & Languages

Global
Countries served
6
Interface languages
1
Billing currencies

Interface languages

EnglishSpanishFrenchGermanItalianDutch

Billing currencies

🇪🇺EUR

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