FINANCE TOOLS
Working Capital Planner
See how receivables, inventory and supplier-payment timing affect your cash. Enter your current operating balances and target days to calculate your cash conversion cycle and estimate the liquidity your business could release—or require.
If your business does not carry inventory, enter zero for both inventory fields.
Working Capital Planner
See where cash is tied up—and model how operating improvements could release it.
Planning estimate only. Use average balances where available. This tool excludes cash, debt, taxes and non-operating current assets and liabilities from operating working capital.
Your Working Capital Outlook
A current-state diagnosis and an operating target translated into cash.
Potential cash release
$0
From the modeled operating changes
Current cash conversion cycle
0 days
DSO + DIO − DPO
Target cash conversion cycle
0 days
No change
Current operating working capital
$0
Receivables + inventory − payables
Cash runway effect
—
Percent of available cash
| Driver | Current | Target | Cash effect |
|---|---|---|---|
| Receivables / DSO | |||
| Inventory / DIO | |||
| Payables / DPO | |||
| Net operating working capital |
