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2026

Cash Forecasting Tool

End-to-end automated cash forecasting pipeline for Finance

PythonSQLETLFinanceAutomation

Overview

Designed and automated an end-to-end cash forecasting pipeline for the Finance team. Ingests upstream premium, claims, and transaction data, runs the forecasting model, and delivers outputs to stakeholders — replacing a recurring manual analyst workflow with a scheduled, reproducible pipeline.

Key Outcomes

  • Eliminated a recurring manual forecasting workflow
  • Produces stakeholder-ready cash forecasts on an automated schedule
  • Centralized forecasting logic in versioned code instead of spreadsheets