cash-flow-analysis

Automate cash flow analysis and treasury planning with 13-week forecasts.

Updated Mar 21, 2026
One-click install
npx skills add https://github.com/LucasMalessa/TheRing --skill cash-flow-analysis-lucasmalessa
Or copy as Structured Prompt for Agent
Please help me install this Agent Skill.
Skill: cash-flow-analysis
Source: https://github.com/LucasMalessa/TheRing/tree/main/.archive/finance-team/skills/cash-flow-analysis
Command: npx skills add https://github.com/LucasMalessa/TheRing --skill cash-flow-analysis-lucasmalessa

SYSTEM DOCUMENTATION & REQUIREMENTS

What problem does it solve?

Cash flow analysis and treasury planning are often manual, error-prone, and slow. This skill automates the process with a structured workflow to assess liquidity, forecast cash flow, identify risks, and provide actionable recommendations.

Core Features & Use Cases

  • Position assessment and current cash position validation
  • 13-week and monthly cash flow forecasting with methodology documentation
  • Liquidity analysis, risk identification, and recommended mitigations
  • Use case: finance teams monitoring runway and working capital across entities
  • Dispatch to a treasury-specialist agent to execute the workflow with full context

Quick Start

Invoke cash-flow-analysis to generate a current position, 13-week forecast, and liquidity assessment from provided bank and AR/AP data.

Frequently Asked Questions about cash-flow-analysis

High-intent search queries and answers about installing and using this skill.

FAQPage Schema
How do I automate cash flow analysis and 13-week forecasting?

Cash flow analysis can be automated by dispatching a treasury specialist agent to process bank and AR/AP data, generating a 13-week forecast, current position validation, and liquidity runway assessment.

What is a liquidity runway assessment and how does it manage treasury risk?

Liquidity runway assessment evaluates operating, financing, and working-capital activities to identify cash flow risks. It provides structured mitigations to maintain liquidity and improve treasury risk-management outcomes.

Can I generate monthly cash flow forecasts from accounts reconciliation data?

Yes, you can generate monthly cash flow forecasts using validated bank and accounts reconciliation data. The process includes methodology documentation to ensure accurate working-capital and liquidity planning.

Does cash flow forecasting work for monitoring working capital across multiple entities?

Yes, this approach supports finance teams monitoring working capital and runway across multiple entities. It assesses current cash positions and identifies risks across operating and financing activities.

What data do I need to start treasury planning and liquidity analysis?

To start treasury planning, you need to provide current bank data alongside AR and AP information. This enables position assessment, risk identification, and the generation of actionable cash flow recommendations.