EU Previsión Tesorería
Cash-flow forecast worksheet by due dates, scenarios, per-bank projected balances and overdraft alerts
Build a rolling cash-flow forecast (previsión de tesorería) entirely from data already in Odoo: open customer/supplier invoices by due date, manual planned movements, and recurring entries. Spreads the flows into time buckets (weekly / monthly), projects the closing balance per bank account and raises an overdraft (descubierto) alert when a projected balance drops below a configurable floor.
Key Features
EU Saldo Previsto por Banco
EU Saldo Previsto por Banco. Tracks Banco, Entradas previstas, Salidas previstas, Saldo previsto, Colchón mínimo.
EU Bucket de Proyección de Tesorería
EU Bucket de Proyección de Tesorería. Tracks Periodo, Descubierto.
EU Previsión de Tesorería
EU Previsión de Tesorería. Tracks Horizonte (nº buckets), Incluir cobros (clientes), Incluir pagos (proveedores), Incluir recurrentes, Bancos. One-click compute, reset, close, view buckets.
EU Movimiento Planificado de Tesorería
EU Movimiento Planificado de Tesorería. Tracks Concepto, Fecha, Tercero.
EU Movimiento Recurrente de Tesorería
EU Movimiento Recurrente de Tesorería. Tracks Día del mes, Fin (opcional), Banco.
EU Escenario de Tesorería
EU Escenario de Tesorería. Tracks Retraso cobro (días), Aplazamiento pago (días), % Entradas, % Salidas, Buckets.
EU Exportar Previsión de Tesorería (CSV)
EU Exportar Previsión de Tesorería (CSV). Tracks Escenario, Fichero. One-click export.
Use Cases
Screenshots
Proyeccin De Tesorera
Exportar Previsin Csv
Previsiones De Tesorera
Movimientos Recurrentes
Why Choose This Module
Features Forecast documents with start date, horizon and bucket size (week / month). Sources: posted receivables and payables by due date (account.move.line), manual planned lines, and recurring templates (rent, payroll, taxes...). Multiple scenarios per forecast (base / optimistic / pessimistic) with a collection-delay (días de cobro) and a payment-stretch adjustment so you can stress collections and payments independently. Per-bank opening balance taken from the linked account.journal, then the projected running balance per bucket and per bank. Overdraft alert engine: flags every bucket whose projected balance falls below the bank's minimum cushion, with a roll-up KPI. Export wizard producing a CSV worksheet of the projection grid.
Specifications
- Compatible: Odoo 18.0 / 19.0
- License: OPL-1
- Languages: English
- Author: Pokutsoft
- Dependencies: account, mail
- Support: support@pokutsoft.com
Update date: 2026-07-09