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Prompt lesson · 17 prompts

Cash Flow Management prompts for VP of Finances

17 ready-to-use prompts from our AI for VP of Finances course. Copy one, fill in the {{placeholders}}, and paste it into ChatGPT, Claude, Gemini or any other AI.

These 17 prompts are part of the membership. Members copy each one with a click and get prompts picked for their job every day.Become a member
01

Accounts Receivable Management

Use this when you need to analyze and improve your accounts receivable process to ensure timely customer payments.

You are a financial analyst specializing in accounts receivable management, optimizing cash flow by identifying risks and recommending effective collection strategies.…

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Open this prompt Analysis · Intermediate

02

Automated Cash Flow Forecasting

Use this when you want to automate and improve the accuracy of your cash flow forecasting using historical data and scenario analysis.

You are a financial modeling expert who automates cash flow forecasting, using historical data and scenario analysis to provide accurate and actionable insights.…

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Open this prompt Analysis · Advanced

03

Cash Flow Budgeting and Scenario Analysis

Use this when you need to create a cash flow budget, identify cost-saving opportunities, and model the financial impact of strategic decisions.

Role – You are a financial analyst and budgeting expert specializing in cash flow management. Your objective is to build a realistic cash flow budget, identify areas for savings, and simulate the…

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Open this prompt Planning · Intermediate

04

Cash Flow Forecasting

Use this when you need to predict future cash inflows and outflows to anticipate financial needs and make informed decisions.

You are a financial analyst specializing in cash flow forecasting, providing accurate projections and actionable insights to support financial planning.…

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Open this prompt Analysis · Intermediate

05

Cash Flow Optimization Analysis

Use this when you need to identify opportunities to improve cash flow through cost reduction or revenue enhancement strategies.

Role — You are a senior financial analyst specializing in cash flow optimization. Your goal is to identify actionable opportunities to improve cash flow by analyzing financial data for cost reduction…

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Open this prompt Analysis · Intermediate

06

Cash Flow Sensitivity Analysis

Use this when you need to assess how changes in key factors affect your cash flow and identify risk mitigation strategies.

You are a financial risk analyst specializing in sensitivity analysis, helping businesses understand and mitigate the impact of key variables on cash flow.…

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Open this prompt Analysis · Advanced

07

Cash Flow Statement Analysis

Use this when you need to analyze cash flow statements to identify trends, risks, and improvement opportunities.

Role — You are a financial analyst specializing in cash flow management. Your goal is to provide actionable insights from cash flow statements, highlighting trends, risks, and areas for improvement…

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Open this prompt Analysis · Intermediate

08

Cash Flow Status Communication

Use this when you need to create clear, audience-tailored reports or presentations on cash flow performance and improvement plans.

You are a financial communication specialist. Your goal is to translate complex cash flow data into a concise, compelling narrative tailored to different stakeholder audiences.…

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Open this prompt Communication · Intermediate

09

Cash Flow Trend Analysis and Forecasting

Use this when you need to review historical cash flow data, identify trends, compare to benchmarks, and forecast future gaps.

Role You are a financial analyst with expertise in cash flow management and forecasting. Your objective is to provide actionable insights from historical cash flow data, identify trends, and…

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Open this prompt Analysis · Beginner

10

Cash Flow Trend Analysis and Reporting

Use this when you need to analyze cash flow data, compare against benchmarks, and generate reports for stakeholders.

Role You are a financial analyst specializing in cash flow management, providing clear reports and insights for stakeholders. Context you provide - cashflowdata – a summary or table of cash flow…

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Open this prompt Analysis · Intermediate

11

Customer Credit Analysis

Use this when you need to assess customer creditworthiness and recommend optimal credit terms to minimize risk and improve cash flow.

Role — You are a senior credit analyst specializing in assessing customer creditworthiness and optimizing credit policies. Your objective is to deliver actionable recommendations that minimize risk…

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Open this prompt Analysis · Intermediate

12

Debt Structure Optimization for Cash Flow

Use this when you need to analyze current debt structure, explore refinancing options, and optimize repayment schedules to improve cash flow.

Role You are a financial analyst specializing in debt structure optimization. You analyze existing debt obligations, evaluate refinancing opportunities, and recommend repayment strategies to enhance…

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Open this prompt Analysis · Advanced

13

Expense Reduction Strategy Analysis

Use this when you need to identify cost-saving opportunities from your expense data and generate actionable recommendations.

Role — You are a financial analyst specialising in cost management. Your goal is to analyse expense data and recommend concrete reductions that preserve operational efficiency. Context you provide —…

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Open this prompt Analysis · Intermediate

14

Inventory Turnover and Cash Flow Optimization

Use this when you need to analyze inventory turnover, identify slow-moving items, and improve cash flow.

Role You are an inventory management analyst specialized in financial optimization. Your goal is to analyze inventory data, identify slow-moving and excess stock, and recommend strategies to free up…

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Open this prompt Analysis · Intermediate

15

Optimize Vendor Payment Terms

Use this when you need to analyze vendor payment processes and identify strategies to improve cash flow.

You are a financial analyst specializing in vendor payment optimization, focused on improving cash flow while maintaining strong supplier relationships.…

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Open this prompt Analysis · Intermediate

16

Optimize Working Capital

Use this when you need to analyze and optimize your company’s working capital by reviewing accounts receivable, payable, inventory, and cash flow.

Role — You are a financial analyst specialized in working capital management. Your objective is to examine the company’s short‑term liquidity data, identify improvement opportunities, and propose…

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Open this prompt Analysis · Intermediate

17

Prioritize Accounts Payable Payments

Use this when you need to review supplier invoices and payment terms to protect cash flow and avoid duplicate payments.

You are an accounts payable analyst supporting financial operations. Your objective is to turn AP data into clear, prioritized payment recommendations that protect cash flow and prevent duplicate…

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Open this prompt Analysis · Intermediate