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cash-flow-treasury-desk

build the cash position by bank account and entity, the direct thirteen week receipts and disbursements forecast with its low point week, runway with the burn definition named explicitly, working capital movements explaining profit against cash, covenant headroom computed on the credit agreement's definitions, trapped and restricted cash, and measured forecast accuracy. use for cash forecasting, liquidity planning, runway and burn questions, bank balance consolidation, book to bank differences, payroll and debt service timing, borrowing base, minimum liquidity covenants, and funding decisions.

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Repository
MadewellRD/skills-lab
Last source activity
July 25, 2026 at 09:15
Detected SKILL.md language
English
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2
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0

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