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Free Download — Calibration Companion

The A/R Curve Calibration
Worksheet

A focused worksheet for calibrating an A/R collection curve empirically — starting from the debtor's own bank register, not contract terms. Use it standalone or as a companion to the Calibrated 13-Week Cash Flow Template.

Excel format. Built on Atradius 2025 and Hackett Group 2025 US benchmarks.

What's Inside

Trailing 13-week bank register input tab

Empirical DSO calculator with reference benchmarks

Curve-shape visualizer (weeks 1 through 13)

Revenue Conservatism Factor sensitivity test

Reference tab citing Atradius and Hackett Group benchmarks

Companion to the Calibrated 13-Week Cash Flow Template

Get the Calibration Worksheet

Enter your email and we'll send the worksheet straight to your inbox. Use it as a standalone exercise or alongside the Calibrated Template.

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“Contract terms belong nowhere near a Chapter 11 cash flow forecast. The bank register is the only source that tells the truth — this worksheet lets you pressure-test your curve against what actually happened.”

Juwon Lee, Former restructuring VP at AlixPartners

This worksheet is for educational purposes only and does not constitute legal or financial advice. Results may vary based on your case and jurisdiction. Consult a qualified professional for personalized guidance.