Cash Control Routine
Cash Position and AR Followup
Cash is tight. And nobody has chased the invoices.
Inputs
- bank-balance.md
- invoice-ledger.xlsx
What BOB Does
- financial-reporting → cash position
- Confirm severity level
- ar-followup → chase overdue invoices
- collections-escalation → 60+ day plan
- Approve escalation actions
- invoice-collector → reconcile payments
Outputs
- cash_position.md
- ar_actions.md
- escalation_plan.md
Time Savings ~4 hrs manual → ~30 min automated
Try It "Cash is tight" or monthly review
Compounding AR patterns emerge — repeat offenders flagged earlier each cycle