Improve Cash Flow | Solution | Tesorio

Cash Flow Optimization

Cash Flow Visibility That Drives Better Decisions

ML-powered forecasting predicts inflows at the invoice level. 95%+ accuracy for 13-week forecasts — giving finance leaders the confidence to plan accurately.

4.7/5 on G2 (237 reviews)

The Challenge

Sound familiar?

Cash flow forecasts are always wrong

Spreadsheet-based forecasts rely on assumptions, not data. By the time you build the model, the numbers are already stale and the variance from actuals is embarrassing.

No real-time visibility into cash position

You wait for end-of-week reports to understand where cash stands. In between, you're flying blind — unable to make timely decisions about investments, hiring, or vendor payments.

Working capital stays trapped in AR

Slow collections mean cash sits in receivables instead of funding growth. You can see the revenue on the P&L, but the bank account tells a different story.

“Our spreadsheet forecasts were consistently 30-40% off. The CFO had zero confidence in our cash projections going into board meetings.”

-- VP of Finance, Growth-Stage SaaS

How Tesorio Helps

A solution for every challenge

The Process

How it works in practice

  1. Connect your data
    Tesorio ingests historical payment data, invoice records, and customer information from your ERP to build the forecasting foundation.
  2. ML builds predictions
    Machine learning models analyze payment patterns, seasonal trends, and customer behavior to predict cash inflows at the invoice level.
  3. Forecast updates live
    Real-time dashboards show rolling 13-week forecasts with 95%+ accuracy, updating continuously as new data flows in.

Results

The numbers speak for themselves

The Transformation

Before vs. after Tesorio

Before Tesorio With Tesorio
Spreadsheet forecasts with 60% accuracy ML forecasts with 95%+ accuracy at 13 weeks
Weekly AR reports that are stale on arrival Real-time dashboards updated continuously
Cash position updates lag 3-5 days Live cash position with drill-down to invoice level
No connection between collections and forecast Collections activity directly improves forecast accuracy
CFO makes decisions on gut feel, not data Data-driven decisions with confidence intervals

“We went from spending days building cash flow models to having a real-time, 95%-accurate forecast that updates automatically. Our board presentations went from 'we think' to 'we know.'”

VP of Finance, Veeva Systems

Industry Recognition

Rated #1 by enterprise AR teams, quarter after quarter

What Customers Say

“Tesorio's ability to give us real-time visibility into our cash position completely changed how we manage the business. We went from reacting to cash surprises to proactively managing our working capital.”

Greg Henry
CFO, Couchbase

FAQ

Improve Cash Flow

Common questions about improve cash flow