Product

Cash Flow Optimization Tool

This tool assists CFOs in managing and optimizing cash flow for better financial health.

Designed to Deliver Measurable Impact

Cash Flow Forecasting

Forecast cash flow needs accurately to ensure liquidity and operational efficiency.

Expense Management

Track and manage expenses effectively to improve cash flow and reduce unnecessary costs.

Financial Health Insights

Gain insights into your organization's financial health with detailed cash flow reports.





Features

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Automated Invoice Capture

Ingests invoices via email, upload, or integration and uses AI to extract key fields — eliminating manual data entry.

PO and Contract Matching

Cross-references invoices with existing purchase orders and vendor contracts to ensure accuracy and prevent mismatches.

Custom Approval Flows

Automatically routes invoices for approval based on amount thresholds, departments, or vendor-specific logic you define.

Real-Time Policy Checks

Applies your internal spend policies up front — blocking or flagging items that exceed limits, lack documentation, or fall outside standard terms.

GL Coding and Journal Entries

Assigns the correct chart of accounts, tax codes, and dimensions, then generates journal entries ready for sync with your general ledger.

Bank Payment Integration

Schedules approved payments through your connected bank accounts or payment platforms, with full tracking and confirmation.

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Discover Real-Time Governance and Control for Your Organisation

Take control of how money moves through your business,  in real time. RedOwl helps CFOs and finance teams automate spend approvals, enforce policy compliance, and eliminate manual reviews without slowing your team down.

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