Review your SaaS cash before it surprises you.
Bring in statements and Stripe or Paddle activity, resolve transaction exceptions, and plan upcoming cash with your accountant.

The Anti-Spreadsheet Operational Ledger
Bring financial activity together
Upload statements, forward supported documents, or connect Stripe. Paddle adds new activity through verified webhooks. You stay in control of mapping and review.
Review before you rely
Work through transactions that need attention and keep missing data or exchange-rate coverage visible before using a cash result.
Plan daily cash
Add committed and expected movements, inspect the lowest projected cash, and act on warnings backed by the available data.
Simple, Scalable Pricing
Choose the plan that's right for your stage of growth. All plans include a 30-day free trial.
Starter
For students, freelancers, and early-stage projects.
- 2 Users
- 20 manual transactions/month
- Max 2 active fiat accounts
- 0 LLM-parsed invoices
- Manual statement imports
Small
For small SaaS teams reviewing transactions and planning cash with an accountant.
- 5 Users
- 500 transactions/month
- Max 5 active fiat accounts
- 50 LLM-parsed invoices/month
- Statement and invoice imports
Medium
For scale-ups and funded startups.
- 20 Users
- 10,000 transactions/month
- Unlimited fiat accounts
- 1,000 LLM-parsed invoices/month
- Statement and invoice imports
Enterprise
For mature companies with dedicated finance teams.
- Unlimited users & transactions
- Unlimited fiat accounts
- Unlimited LLM-parsed invoices
All prices are excluding VAT
Need something custom? Talk to our finance experts
Built for accountable review
Versioned cash calculations, evidence links, and visible coverage limits help you understand how each result was produced.
Supported uploads and webhooks do not require bank passwords or inbox access. Company data is tenant-isolated and encrypted.
Improving the core workflow for small SaaS finance teams
- Event templates for common transactions (payroll, invoices, expenses)
- Operational forecasting & liquidity modeling workflows
- Recurring-transaction automation and internal ledger tracking
- More connectors only after pilot evidence supports them
- AI integration via MCP (Model Context Protocol)
Bring each cash decision back to reviewed transactions.
Import financial activity through supported uploads, forwarding, Stripe, or Paddle webhooks.
Repair mapping issues, review exceptions, and add upcoming cash movements before relying on the plan.