# Palm > Palm is an AI cash flow forecasting platform for treasury teams. It forecasts liquidity from your transaction data, models scenarios, runs continuous variance analysis, and produces board-ready reporting. Palm connects to your banks and ERP, learns the timing and size of your recurring cash flows from historical transactions, and keeps a rolling forecast (13-week and longer) current automatically. It is built for corporate treasury and finance teams. ## Product - [Meet Palm](https://www.usepalm.com/meet-palm): Overview of the platform. - [Forecasting](https://www.usepalm.com/forecasting): AI cash flow forecasting that learns from your data. - [Scenarios](https://www.usepalm.com/scenarios): Model what-if liquidity scenarios on your live forecast. - [Variance analysis](https://www.usepalm.com/variance-analysis): Forecast vs. actual, by category, every cycle. - [Investments](https://www.usepalm.com/investments): Identify genuinely surplus cash and invest with confidence. - [Positioning](https://www.usepalm.com/positioning): Automated daily cash position across banks and currencies. - [Reporting](https://www.usepalm.com/reporting): Board-ready treasury reporting. - [Pulse](https://www.usepalm.com/pulse): Anomaly detection and alerts on cash and forecast. ## Resources - [Blog](https://www.usepalm.com/blog): Treasury insights and cash flow forecasting know-how. - [Glossary](https://www.usepalm.com/glossary): Treasury and cash management terms, explained. ## Company - [About](https://www.usepalm.com/about): Palm's mission and approach. - [Security](https://www.usepalm.com/security): How Palm protects financial data. - [Contact](https://www.usepalm.com/contact-us): Get in touch or book a demo.