Cash Flow Snapshot Produces a 30/60/90-day cash flow forecast with percentage-variance confidence bands and named risk flags. Delivers a two-part output: a concise chat summary and a downloadable XLSX workbook. Quick start "Will I make payroll next month?" Claude pulls AR/AP and fixed costs from connected sources, calculates expected inflows and outflows across 30, 60, and 90-day windows, applies confidence bands based on each customer's historical payment variance, and flags specific risks by name. --- Workflow Step 1 — Identify available data sources Check which connectors are live. Try in…