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- Funding gap
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- Runway at current pace
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- Required pace
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- At the checkpoint
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- Slack / shortfall
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- Current pace
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Connect total target cost, current cash, a protected reserve and weekly net flow. The model returns the runway and pace required by your date.
Every number is an editable scenario. The primary source defines only the current game context.
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Keep the target and untouchable cash floor in the same calculation instead of reconciling them after purchase.
Do not use headline sale value: account for supplies and the flow you can actually realize.
If the pace misses the deadline, change the purchase, flow or date rather than silently spending the reserve.
Rockstar Games · Current primary source ↗The full guide explains which inputs must stay separate, how to run the adverse case and what to change first when the runway fails.
Read the complete guide →The playbook shows what has been checked, which layer comes next and where the decision becomes action.
The planner returns a runway and positive slack at the checkpoint.
Remove one cash cycle and identify which part of the purchase should be deferred first.
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