Figure · FIG:pilot/cash-conversion-cycle

Aster Supply cash conversion cycle

A data bound bridge computing inventory days plus receivable days minus payable days for Aster Supply's third fictional year.

Updated Aug 7, 2026 Review due Nov 7, 2026
Aster Supply's Year 3 cash conversion cycle combines data-bound inventory, receivable, and payable days under the declared proxy conventions.
Detailed visual description

The generator reads Aster Supply's checked Year 3 opening and ending operating balances, flow denominators, and 365-day basis from the same dataset used by the multi-period worked examples.

Review apparatus

Visual provenance and review

Technique
data bound svg
Role
explanatory
Review state
candidate
Rights
CC0-1.0 · Generated from fictional project data

Review notes

  • Recompute displayed values and verify the simple-average and denominator labels remain visible near the figure.