Explore Obol

See how leading finance teams use Obol to plan, manage, and track cash in real time.

Trusted by leading finance teams

Cash Flow Planning

Always current, always actionable

Streamline cash flow planning across your business operations to decrease manual work by 80%, run real-time scenarios in seconds, and prevent liquidity gaps across entities and accounts.

Cash Positioning

Every dollar accounted for

Control your cash position across banks, entities, and currencies to reduce idle balances, prevent overdrafts, and ensure every payment is funded on time with full visibility into available liquidity.

Cycle Management

Timing you can trust

Manage your cash conversion cycle to accelerate receivables, avoid late payment fees, and reduce liquidity risk from delayed collections and mismatched payment runs.

Reporting

Always ready, never outdated

Automate cash reporting to eliminate manual consolidation, accelerate close processes, and deliver audit-ready reports built on real-time, error-free data.

Global Ready

Built for scale, ready for speed

Consolidate global cash across entities and currencies to reduce FX exposure, improve cross-border liquidity planning, and operate with full visibility across international accounts.

Manage your cash flow, not your spreadsheets