What you can do with Monitr
Cash Flow Forecasting
Build a cash flow forecast in a few clicks. Manage multiple scenarios — Base Case, Optimistic, Pessimistic — and compare them side by side in real-time.
Read the docs →Reports & Dashboards
Get a P&L, Balance Sheet, and Cash Flow statement from your live GL data. Drill down from helicopter view to individual transaction level.
Read the docs →Budget Modules
Sector-specific modules for recurring revenue, personnel costs, fixed assets, loans, and more. Each module feeds automatically into your cash flow forecast.
Read the docs →Live Data & Integrations
Connect Exact Online, Moneybird, Twinfield, Xero, QuickBooks, Yuki, and more. Your forecast updates automatically as your accounting data changes.
Read the docs →Get up and running in three steps
Connect your accounting software
Link Monitr to your bookkeeping platform. Your historical GL data syncs automatically — no manual exports needed.
Build your reporting structure
Map your GL accounts to P&L, Balance Sheet, and Cash Flow lines once. Monitr applies it to every future sync.
Build your first forecast
View live financial reports and build a scenario-based cash flow forecast in minutes.