skills/cash-flow-forecast/SKILL.md
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.
npx skillsauth add mohitagw15856/pm-claude-skills cash-flow-forecastInstall this skill globally with one command. Works with Claude Code, Cursor, and Windsurf.
3 of 9 scanners reported clean
Some scanners were skipped, did not run, or reported a non-clean status. Review each row below.
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.
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.
Ask for these only if they aren't already provided (else use labelled placeholders):
Closing cash = Opening cash + Inflows − Outflows, run week over week (each week's closing is the next week's opening).| Week | Opening cash | Inflows | Outflows | Net | Closing cash | |---|---|---|---|---|---|
Break inflows/outflows into their main lines (receipts; payroll, rent, suppliers, tax…) so it's actionable.
Mark all placeholder figures (replace with your numbers).
Cash management practice — short-horizon (13-week) cash flow forecasting on payment timing, low-point analysis, explicit assumptions, and liquidity levers.
business
Analyze why deals are won and lost and turn it into an action plan. Use when asked to run a win/loss analysis, review closed-won and closed-lost deals, understand why the team is losing to a competitor, or summarize sales feedback into patterns. Produces a structured win/loss report with themes, win/loss rates by segment and competitor, representative quotes, and prioritized actions for product, marketing, and sales.
development
Route a fuzzy request to the right skill in this library. Use when the user is unsure which skill fits, asks 'which skill should I use for X', describes a task without naming a skill, or when a request could plausibly match several skills. Produces a best-fit recommendation with the inputs to gather, a runner-up with the tie-breaker, and a workflow recipe when the job spans multiple skills.
testing
Triage a vulnerability or scanner finding — assess real severity, exploitability, and how urgently to fix. Use when asked to triage a CVE, prioritize scanner/pentest findings, assess a vuln's risk, or decide what to patch first. Produces a triage verdict: CVSS-informed severity adjusted for your context, exploitability, real risk, a fix/mitigation, and an SLA — so you fix what matters, not just what's red.
development
Stand up a Voice of Customer (VoC) program that turns feedback into action. Use when asked to build a VoC program, design a customer feedback loop, consolidate feedback sources, or set up a closed-loop feedback process. Produces a VoC program design — objectives, feedback sources and channels, a taxonomy, collection and analysis cadence, closed-loop routing, ownership, and success metrics.