build-cash-forecast-and-liquidity-plan
Build a cash position + rolling forecast and a liquidity plan by traversing the treasury decision tree (cash position → forecast method (direct/receipts-and-disbursements vs indirect) → 13-week build & drivers → variance loop → minimum-cash/buffer sizing → committed vs uncommitted facility mix), then return the daily cash position, the 13-week forecast, the buffer target (stress-tested), the facility/revolver plan, and the conditions that resize it. Reach for this when the user asks 'build our 13-week cash forecast', 'how much cash should we hold?', 'what's our liquidity buffer?', 'direct or indirect forecast?', or 'committed vs uncommitted facilities?'. Used by cash-and-risk-operations-specialist (primary) and treasury-strategy-lead.
来源信息
- 仓库
- mcorbett51090/RavenClaude
- 最近来源活动
- 2026年7月14日 13:58
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