
ClicTréso : Streamlined Financial Management for Businesses
ClicTréso: in summary
What are the main features of ClicTréso?
Efficient Cash Flow Management
Manage cash flow with ease using ClicTréso. This feature helps businesses maintain a healthy cash balance by providing tools and insights for effective financial planning.
- Automated cash flow tracking for seamless monitoring and forecasting.
- Customizable alerts for potential cash flow issues.
- Integrated banking for real-time balance updates.
Comprehensive Budget Planning
Plan and manage your budget effectively with ClicTréso's comprehensive features. This tool ensures that businesses stay on track to meet financial goals.
- Detailed budget templates tailored to business needs.
- Flexible budget adjustments for dynamic financial scenarios.
- Collaborative budgeting with team access permissions.
Real-Time Financial Analytics
ClicTréso provides real-time financial analytics to offer deep insight into business performance. Gain a competitive edge by understanding key financial metrics.
- Interactive dashboards to visualize financial data.
- Custom reports for in-depth analysis of financial trends.
- Predictive analytics to forecast future financial scenarios.
ClicTréso: its rates
Standard
€10.00
/month /50 users
Standard
€100.00
/year /50 users
Standard
€10.00
/month /50 users
Standard
€100.00
/year /user
Clients alternatives to ClicTréso

This CRM software streamlines customer management with a user-friendly interface, automated workflows, and integrations with popular tools.
See more details See less details
Axonaut's CRM software offers a range of features to simplify customer management. With a user-friendly interface, you can easily track leads, manage customer data, and automate tasks. The software also integrates with popular tools like Google Calendar, Mailchimp, and Stripe, making it easy to manage your workflow.
Read our analysis about AxonautBenefits of Axonaut
Easy to use
Affordable
All-in-one
To Axonaut product page

Efficiently manage your cash flow with intuitive management software. Track cash flow, forecast expenses and manage invoices with ease.
See more details See less details
Sellsy Gestion de trésorerie is a comprehensive cash management software package that lets you monitor and analyze your cash flow in real time. It lets you forecast expenses and manage invoices with ease.
Read our analysis about Sellsy TrésorerieTo Sellsy Trésorerie product page

Streamline treasury management with advanced automation and reporting features.
See more details See less details
Fygr's treasury management system simplifies financial operations by automating tasks such as cash positioning, forecasting, and risk management. Its robust reporting capabilities provide real-time visibility into cash flows and liquidity, enabling better decision-making.
Read our analysis about FygrTo Fygr product page
Appvizer Community Reviews (0) The reviews left on Appvizer are verified by our team to ensure the authenticity of their submitters.
Write a review No reviews, be the first to submit yours.