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treasury-and-liquidity

Manages cash and liquidity — cash forecasting, runway, working capital, banking structure, and currency and counterparty exposure. Use this to build a cash forecast, extend runway, improve working capital, decide where cash should sit, or assess exposure to a bank, currency, or customer concentration.

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Source facts

Repository
cbrock84/headcount
Last source activity
September 1, 2026 at 01:17
Detected SKILL.md language
English
Stars
1,085
Forks
169

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Review the source files

Read SKILL.md and any companion files shown by SkillsMP before deciding whether to install.