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cash-flow-forecast

Build a short-term (13-week) cash flow forecast to see if you can cover what's due

Install / Use

npx skills add mohitagw15856/pm-claude-skills --skill cash-flow-forecast

Installs into whichever agent you are using.

About this skill
📄

SKILL.md

Installable skill definition

Quality Score

79/100

Supported Platforms

Universal

Tags

Our assessment of cash-flow-forecast

cash-flow-forecast scores 79/100 on our quality scale, 2664th of 4,140 Development & Engineering skills we index.

Its SKILL.md is 4.1 KB long, well organised into 8 sections and no code examples: a solid amount of guidance for an agent.

With 1,396 GitHub stars, it is one of the more widely adopted skills in the catalogue.

Substance
26/30
Structure
13/20
Description
12/15
Adoption
13/20
Freshness
15/15

Maintenance, license and trust

  • The repository was last updated 6 days ago, so cash-flow-forecast is actively maintained.
  • It is released under the MIT license, a permissive license that allows use, modification and commercial use with attribution.
  • Its trust signals score 100/100, with no cautions. These come from repository metadata, not a code audit — read the skill file before letting an agent act on it.

cash-flow-forecast compared with similar skills

All 4 of these similar skills score higher than cash-flow-forecast; compare them before choosing.

SkillScoreStarsUpdatedFormat
cash-flow-forecast (this skill)by mohitagw15856791.4k6d agoSKILL.md
ai-job-searchby MadsLorentzen10044.6k1d agoCLAUDE.md
claude-howtoby luongnv8910041.7ktodayCLAUDE.md
algorithmic-artby anthropics100177.9k8d agoSKILL.md
pptxby anthropics100177.9k8d agoSKILL.md

Frequently asked questions

How do I install cash-flow-forecast?
Run npx skills add mohitagw15856/pm-claude-skills --skill cash-flow-forecast. The install tabs above show the steps for each supported agent.
Which AI agents does cash-flow-forecast work with?
It is written for Universal, as a SKILL.md file. Other agents that read the same format can often use it too.
Is cash-flow-forecast safe to use?
It is MIT-licensed and scores 100/100 on trust signals. Skills are instructions an agent will follow, so read the file before installing it and do not approve commands you do not understand.
Is cash-flow-forecast still maintained?
The repository was last updated 6 days ago, so cash-flow-forecast is actively maintained.

name: cash-flow-forecast description: "Build a short-term (13-week) cash flow forecast to see if you can cover what's due. Use when asked to build a cash flow forecast, a 13-week cash flow, a cash projection, or to plan around a cash crunch. Produces a week-by-week forecast structure — opening cash, expected inflows, scheduled outflows, net movement, and closing/low-point — with the formulas and a worked example, plus the levers if cash goes tight. Not financial advice."

Cash Flow Forecast Skill

Profit is an opinion; cash is a fact — and businesses fail by running out of it even while "profitable". A short-term (commonly 13-week) cash flow forecast shows, week by week, whether money coming in covers money going out, and when the tightest point hits. This skill builds that forecast's structure and math so you can see trouble early and act.

Note: this is a planning aid, not financial, investment, or accounting advice. It structures a forecast from figures you provide and projects from your assumptions; it does not guarantee outcomes. Confirm material decisions with a qualified accountant/advisor. Never invent actual balances or amounts.

Working from a brief

Given "build me a 13-week cash flow", produce the full structure anyway — lay out the model with the formulas and a worked example using placeholder figures (replace with your numbers). Use the real numbers where the user gave them; never fabricate a starting balance or a result.

Required Inputs

Ask for these only if they aren't already provided (else use labelled placeholders):

  • Starting cash — current bank balance (the opening position).
  • Inflows — expected receipts and their timing (customer payments, with realistic collection timing, not invoice date).
  • Outflows — scheduled payments and timing (payroll, rent, suppliers, loan repayments, tax, subscriptions).
  • Horizon & purpose — 13 weeks (default) or other, and what decision it informs (a crunch, a hire, a raise).

Output Format

13-Week Cash Flow Forecast: [business]

  • How it works — the model in one line: Closing cash = Opening cash + Inflows − Outflows, run week over week (each week's closing is the next week's opening).
  • Forecast table — a week-by-week layout (template + a worked example with placeholder figures):

| Week | Opening cash | Inflows | Outflows | Net | Closing cash | |---|---|---|---|---|---|

Break inflows/outflows into their main lines (receipts; payroll, rent, suppliers, tax…) so it's actionable.

  • Key read-outs — the lowest cash point and which week it hits, weeks that go negative (the warning), and total net movement over the horizon.
  • Assumptions — collection timing, what's committed vs. expected, and anything to confirm — stated explicitly (the forecast is only as good as these).
  • If cash goes tight — levers — accelerate receivables, delay/stagger payables, cut/defer discretionary spend, draw on credit, or raise — with the trade-offs.

Mark all placeholder figures (replace with your numbers).

Quality Checks

  • [ ] Built on cash timing (when money actually moves), not invoice/accrual dates
  • [ ] The week-over-week roll-forward is correct (closing → next opening) and the math is shown
  • [ ] The lowest cash point and any negative weeks are surfaced clearly
  • [ ] Assumptions (collection timing, committed vs. expected) are explicit
  • [ ] Numbers are real where provided and placeholders elsewhere — nothing invented
  • [ ] Practical levers are offered for a tight-cash scenario with trade-offs

Anti-Patterns

  • [ ] Do not use invoice dates for inflows — model when cash is actually expected to land
  • [ ] Do not invent a starting balance or amounts — use the user's figures or labelled placeholders
  • [ ] Do not hide the assumptions — a forecast without them is false precision
  • [ ] Do not bury the low point — the whole purpose is to see the crunch coming
  • [ ] Do not present projections as guarantees or as financial advice

Based On

Cash management practice — short-horizon (13-week) cash flow forecasting on payment timing, low-point analysis, explicit assumptions, and liquidity levers.

Related Skills

View on GitHub
GitHub Stars1.4k
CategoryDevelopment
Updated6d ago
Forks249

Languages

HTML

Trust signals

100/100

From repository metadata: license, adoption, age and documentation. Not a code audit — see the Safety scan above for what the skill file itself contains.

No cautions