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FinanceFor finance teamsIn build

Working Capital & Cash Flow Agent

Consolidates cash position, produces a 13-week rolling forecast and liquidity stress scenarios, and alerts on thresholds with the computed value stated. No fund movement capability.

13-week cash forecast accuracyMAPE ≤ 8%GoalSign up to run

How it works

Step 1
You provide
Paste your details
Step 2
Grounds
Retrieves & cites — no ungrounded claims
Step 3
Drafts
Schema-checked, code-assembled output
Step 4
You approve
Drafts and acts on request, human approves before anything leaves

Ask it like

what's our cash position13-week cash forecast

Model & guardrails

  • Runs on MYAM shared · open 7B (Qwen) by default — you can point it at your own model.
  • Autonomy: Drafts and acts on request, human approves before anything leaves. Nothing leaves without a human’s approval.
  • Data: Restricted — tightest controls. Provenance is attached to every output.

Outcome

13-week cash forecast accuracy
MAPE ≤ 8%
Goalour goal — not yet measured on live runs
TargetEvalPlatformVerified

Fills in as real usage proves it — from a Target we set, to Eval-measured (passes our test suite), to Platform-measured (across ≥20 accounts), to Verified (customer outcomes).

Also tracked: Liquidity surprises = 0 · Fund-movement capability = none

Works well with