Multi-agentOperations & Team ManagementAdvancedFree

Finance & Cash Flow Management System.

3 agents, 3 deliverables.

Analyse financial inputs, stress-test assumptions, and produce decision-ready recommendations.

WORKFLOW META
Agents3
Total tokens (avg)~500
Run time9 min
AI toolChatGPT · Claude · Gemini
Variables4
DifficultyAdvanced
CategoryOperations & Team Management
SEQUENCE MAP · CLICK TO JUMP
· 01 ·
Cash Flow Analyzer
· 02 ·
Financial Control System Builder
· 03 ·
Revenue Forecasting Agent
USE CASE INPUTS

Set the workflow's inputs once.

These variables feed into every agent prompt below. Fill them once, then copy each agent in order.

{{business_type_stage}}
Business type stage
Business type stage
Finance & Cash Flow Management System example context
{{monthly_revenue}}
Monthly revenue
Monthly revenue
Finance & Cash Flow Management System example context
{{monthly_fixed_costs}}
Monthly fixed costs
Monthly fixed costs
Finance & Cash Flow Management System example context
{{current_cash_runway}}
Current cash runway
Current cash runway
Finance & Cash Flow Management System example context
THE AGENTS

The 3-step sequence.

01
AGENT · CASH FLOW

Cash Flow Analyzer

GOAL OF THIS STEP

Build a cash flow health assessment. Calculate: monthly burn rate (fixed + variable costs), gross margin, operating cash flow, and months of runway at current burn. Identify: the 3 biggest cash flow risks (customer concentration, long payment cycles, seasonal dips), and the 3 immediate levers to improve cash position (accelerate receivables, defer payables, cut discretionary spend). Create a 12-month cash flow projection.

EXPECTED OUTPUT

Cash flow health metrics + 3 risks + 3 improvement levers + 12-month projection

agent-01-cash-flow-analyzer.md
### Input
Revenue, fixed costs, runway

### Task
Build a cash flow health assessment. Calculate: monthly burn rate (fixed + variable costs), gross margin, operating cash flow, and months of runway at current burn. Identify: the 3 biggest cash flow risks (customer concentration, long payment cycles, seasonal dips), and the 3 immediate levers to improve cash position (accelerate receivables, defer payables, cut discretionary spend). Create a 12-month cash flow projection.

### Output
Cash flow health metrics + 3 risks + 3 improvement levers + 12-month projection
02
AGENT · FINANCIAL CONTROL

Financial Control System Builder

03
AGENT · REVENUE FORECASTING

Revenue Forecasting Agent

HOW TO RUN

Three steps. 9 min.

STEP 01

Fill in the variables at the top. Copy them into a note or your tool's context window — every agent below uses them.

STEP 02

In your AI tool, paste Agent 1 and run it. Copy the output. Paste Agent 2 with the output appended. Repeat in order for all 3 agents.

STEP 03

At the final agent, review and refine. It outputs your finished deliverable, ready to publish or hand off.

WHAT YOU GET

The final output, end-to-end.

Cash Flow Analyzer

Cash flow health metrics + 3 risks + 3 improvement levers + 12-month projection

Financial Control System Builder

5-component financial control system: close process + approval matrix + review template + alerts + weekly report

Revenue Forecasting Agent

6-month revenue forecast (3 scenarios) + forecasting model + key assumptions + leading indicators

★ MULTI-AGENT PACK

The Multi-Agent Operator Pack.

100 production-ready workflows like this one. Agent prompts, variable cheat-sheets, and the operator's guide.

Free