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thirteen-week-cash-forecast

Build and operate a 13-week direct-method cash forecast — receipts by source, disbursements by category, week-by-week roll, variance-to-prior-forecast cadence, covenant headroom view, and the trigger thresholds for management action. Reach for this skill when a business is cash-tight, in workout, lender-monitored, or post-fundraise discipline-building. Used by `treasury-analyst` (primary) and `fpa-analyst` for the longer-range bridge.

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Source facts

Repository
mcorbett51090/RavenClaude
Last source activity
May 24, 2026 at 01:06
Detected SKILL.md language
English
Stars
7
Forks
1

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