OpEx + Cash Modeler

Unofficial Management, Inc. — May 2026 to Mar 2032
MODIFIED
Cash tracker
Starting cash
$2.33M
May 1, 2026
Peak cash
Min cash
Cash runs out
Cash at Mar '32
Total adjustments
Available cash — monthly
Cash balance
Fee inflow
OpEx
Distribution
Revenue projection
Total fees thru Mar '32
Peak quarter
Active funds
Fee modifications
Quarterly management fees by fund
Funds & fee modifications
Tax planning
Tax rate
52%
blended effective rate
YTD net income
Jan– actuals
YTD add-backs
non-deductible meals & entertainment
est. tax liability
paid Q1
Defers Fund IV fees from high-tax years into loss years to minimize total taxes paid.
Tax settings — update in Smart Budget → tax_settings tab
Values sync automatically from Smart Budget. Update YTD figures monthly after books close in Digits. Set prior year tax once final liability is known.
OpEx projection
Annual OpEx
Personnel
Non-personnel
Budget (locked at base)
OpEx breakdown
Scenario assistant
Ask about anything — OpEx changes (personnel, software, vendors), revenue scenarios (fee waivers, deferrals, new funds), or one-off cash events (distributions). I will update all three views live.
Scenario or question