Daily Cash Position Dashboard – Excel Dashboard
63.56 $
Daily Cash Dashboard: Displays bank balances, available cash, and expected inflows/outflows by bank and currency, with alerts for near-term obligations. Delivers a daily liquidity snapshot for CFO/treasury decisions.
Daily Cash Position Dashboard
A daily Excel dashboard to display daily bank balances and available cash, aggregating today’s inflows/outflows, and showing the expected net liquidity over the next 1–7 days to support payment and collection decisions and treasury management.
Value Proposition:
Instead of knowing the “bank balance” after the day ends, this dashboard provides you with an actionable daily cash position:
Opening Cash + Today Inflows − Today Outflows = Available Cash.
It distinguishes between “ledger balance” and “available balance” (Available vs Ledger) and shows today’s/tomorrow’s obligations before they occur.
In 20 seconds: What will you get?
- Daily Cash Position: Daily cash position for each bank + consolidated total.
- Bank Balances: Daily bank balances (Ledger/Available) with reserved/held differences.
- Daily Inflows: Expected/confirmed collections (customers/payment gateways/internal transfers).
- Daily Outflows: Today’s payments (suppliers/salaries/taxes/installments/expenses).
- Short-term Forecast: 3–7 day forecast (optional) based on the due date schedule.
- Cash Alerts: Liquidity shortage alert + Minimum Cash Buffer.
- Payment Priorities: Payment ordering by importance/due date.
- Dashboard KPIs: Net for today, highest liquidity bank, largest payment item, largest collection item.
- Audit-ready: Source of balance (Statement/Bank Portal/ERP) + Daily update log.
Suitable for
- Companies managing multiple bank accounts needing daily payment decisions.
- Treasury/finance teams in a fast-paced collection and payment environment.
- Companies experiencing liquidity fluctuations despite profitability (Profit ≠ Cash).
Not Suitable for
- Very small entities relying on a single account without daily transactions.
- Those seeking a direct bank API integration — this is an Excel dashboard (fed by files/export).
Without the dashboard / With the dashboard
| Item | Without the dashboard | With the dashboard |
|---|---|---|
| Payment Decision | Reactive to supplier/due date pressure | Priority list + visibility of today’s and tomorrow’s liquidity |
| Available Balance | Confusion between Ledger and Available | Clear separation + reserved/held balance |
| Short-term Forecast | Liquidity surprises during the week | 7-Day Outlook + shortfall alert |
Before Use: 5 Symptoms of Poor Daily Liquidity Management
- Payments executed then a cash shortfall appears because the “available balance” was not calculated correctly.
- Expected collections are not tracked daily, leading to delays without escalation.
- Dispersed bank balances with no consolidated real-time total.
- Pending/held payments not reflected in the ledger balance.
- Bank transfer decisions made late or without visibility of upcoming obligations.
After Implementation (Two Points Only)
- Daily Clarity: Opening + In/Out + Available for each bank and company total.
- Early Warning: Shortfall Alerts + Minimum Buffer before due dates.
How does the dashboard work practically?
1) Input/Update Daily Bank Balances
- Ledger Balance from ERP/GL (optional).
- Available Balance from bank portal/statement (available balance).
- Pending / Holds if impactful.
2) Load Today’s Flows
- Inflows: Confirmed/expected collections (AR, payment gateways, transfers).
- Outflows: Today’s payments (AP, salaries, taxes, installments, expenses).
- Classify flows by type to expedite decision-making (Mandatory vs Deferrable).
3) Calculate Net for Today and Short-term Forecast
- Daily Net Movement + Available Cash.
- 3–7 day forecast based on the due date and collection schedule (optional).
- Suggest bank transfers if a shortfall appears in a specific bank.
4) Controls and Daily Closing
- Log for last update timing and who performed it.
- Alerts when exceeding shortfall limits or having a large uncertain item.
Deliverables Components within the File
- Banks & Balances: Daily balances (Ledger/Available/Pending).
- Inflows: Daily inflows with their source.
- Outflows: Daily outflows with payment priority.
- 7-Day Outlook: Short-term forecast (optional) + scenarios.
- Controls: Alerts + Minimum Buffer + Update Log.
- Dashboard: Summary of KPIs and Top Items.
If you want a daily payment decision based on actual available balance… this dashboard is the foundation
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