# Cash Flow Forecaster

> Daily, weekly, and monthly cash forecasting skill with scenario analysis and liquidity stress testing

- Skill: `a5c-ai/cash-flow-forecaster` (Agent Skill)
- Install (CLI): `npx skillmds@latest add a5c-ai/cash-flow-forecaster`
- Raw SKILL.md: https://api.skillmd.com/api/skills/a5c-ai/cash-flow-forecaster/raw
- Safety review: pending
- Works with: Claude Code, Claude.ai, OpenAI Codex
- Category: Finance & Business
- Author: a5c-ai (https://skillmd.com/u/a5c-ai)
- Updated: 2026-09-09
- Page: https://skillmd.com/skills/a5c-ai/cash-flow-forecaster

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# Cash Flow Forecaster

## Overview

The Cash Flow Forecaster skill provides comprehensive cash forecasting capabilities across multiple time horizons. It enables liquidity planning, stress testing, and working capital optimization through scenario-based analysis.

## Capabilities

### Direct Method Cash Forecasting
- Cash receipts projection
- Cash disbursements estimation
- Payroll timing
- Tax payment scheduling
- Debt service timing
- Capital expenditure planning

### Indirect Method Reconciliation
- Net income to cash flow bridge
- Non-cash item adjustments
- Working capital changes
- Accrual to cash conversion
- Deferred item treatment
- Cross-check validation

### Working Capital Optimization Modeling
- Days sales outstanding targets
- Days payable outstanding optimization
- Inventory turnover improvement
- Cash conversion cycle analysis
- Payment term negotiation impact
- Early payment discount analysis

### Liquidity Stress Scenarios
- Revenue decline scenarios
- Customer concentration risk
- Supply chain disruption
- Credit facility unavailability
- Rapid growth requirements
- Economic downturn modeling

### Bank Balance Aggregation
- Multi-bank connectivity
- Currency position consolidation
- Sweep account integration
- Concentration account tracking
- Notional pooling support
- Zero balance account management

### Cash Position Optimization
- Surplus investment strategies
- Deficit coverage planning
- Intercompany funding
- FX exposure netting
- Cash pool balancing
- Target balance maintenance

## Usage

### Short-Term Forecast (Daily/Weekly)
```
Input: Bank balances, expected receipts, planned disbursements
Process: Build detailed cash flow by day/week
Output: Daily cash position, funding requirements, investment opportunities
```

### Long-Term Forecast (Monthly/Quarterly)
```
Input: Budget, working capital assumptions, capital plans
Process: Project cash flows, identify liquidity needs
Output: Liquidity forecast, covenant compliance projection, funding plan
```

## Integration

### Used By Processes
- Cash Flow Forecasting and Liquidity Management
- Debt Facility Management and Covenant Compliance
- Annual Budget Development

### Tools and Libraries
- Treasury management system APIs
- Kyriba
- GTreasury
- Bank connectivity platforms

## Best Practices

1. Reconcile forecast to actual regularly
2. Measure and improve forecast accuracy
3. Build bottom-up forecasts from operating units
4. Maintain multiple scenario overlays
5. Establish liquidity thresholds and triggers
6. Integrate with FP&A processes

