Cash Flow Analysis
Stay on top of your financials with Cash Flow Analysis from our business checking account.
Accounting software integration for busy business owners.
Receive automated forecasting, gain digital insights and spot potential issues before they impact your business. Cash Flow Analysis helps you make better decisions, increase profitability and accomplish your business goals. It’s like having your own digital CFO.
Set up is easy — simply integrate business checking with your accounting software solution (QuickBooks, Xero, FreshBooks and more), and you are good to go. Don’t have our business checking? Apply for an account in minutes.
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Accounting software integration benefits:
Debt-to-asset ratio
- Net profit
- Expenses
- Headcount
Future insights
- How investments can impact performance
- How staffing changes affect your business
Key metrics
- Automated forecasting
- Cash in
- Cash out
- Accounts receivable and payable
Digital insights
- When the right time is to invest
- How to minimize expenses
- Payroll expense ratio
- Interest expense ratio
Become a business checking customer.
Complete your application in just minutes. It’s quick, it’s easy and it’s all online so you can focus on what matters most — your business.
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