Small Business


Small Businesses (SMEs) and Start-Ups

For small businesses we offer Slide: a free banking and cash flow forecasting app available on iPad and iPhone.

Visit Slide website

How Slide helps small businesses

  • See your company's bank balance on any future date (slide right)
  • View payment and balance history for any date or category (slide left)
  • Combine your company's banking, payment and receipt information
  • Set a target balance of the minimum amount needed to run your business
  • Customise Slide's income and expenditure headings to your business
  • See when a customer last paid you and when they’re due to pay you next
  • Check which suppliers you paid, when you last paid them and the amount
  • Control the items in your cash flow: delay a future-dated payment

With Slide there are No More Guesses

Cash flow remains the number one reason for business failure. Many small businesses and early-stage start-ups struggle and ultimately fail due to avoidable cash flow problems.

This happens because most small business owners don’t have the tools to predict their future cash flows in real time. So we designed Slide to help these businesses get a step ahead of their cash position so they can actively predict and control their financial future.

Free to download and use from the App Store, Slide is a business banking app for iPad and iPhone with built-in cash flow forecasting. It helps small businesses manage what has happened (slide left) and what will happen (slide right) to their future company cash.

For more information visit the Slide website


From banks and non-banking financial institutions to property management firms and government departments, our solutions help hundreds of organisations improve the productivity, visibility, automation and regulatory compliance of their cash management operations.

Cash Flow Forecasting

Our cash flow forecasting solution helps business owners to forecast and revise their cash flow on a daily and intraday basis.

Client Money Management and Compliance

Our client money (CASS) solution offers a full suite of accounting, banking, reconciliation and reporting functionality.

In-house banking

Our in-house banking solutions help businesses to centrally control cash operations across multiple banks and regions without the need for a banking license.

Interest Rate Management

Our virtual accounts platform allows businesses to calculate interest due on their virtual account independently of their real bank account

Liquidity Management

Cashfac’s liquidity management solution works with your existing accounting/ERP, treasury management and back-office systems.


Our Virtual Accounts platform is a multi-bank cash management solution. It is designed to provide centralised visibility and control of all banking operations.


Cashfac works with your existing systems to help shorten your business’s order-to-cash (O2C or OTC) timeline.


As an FCA authorised PIS (Payment Initiation Service) provider, our virtual accounts platform allows businesses to initiate payments straight from our platform.

Talk to us today

To find out more about how Cashfac's solutions can help your business, get in touch with our helpful team

Or call us on

+44 (0)20 7920 0617

Talk to us today