A visual model for tracking income, debt repayment, and financial equilibrium. Built to understand how cash flow evolves over time under different repayment strategies.
This simulator models cash flow across income streams, expenses, and debt obligations. Instead of static spreadsheets, it provides a timeline-based view of when equilibrium is reached and how repayment decisions affect long-term liquidity.
It’s a practical tool born from a simple question: what actually happens month by month when you try to close a deficit?