Cash Management
04/20/2026Idle cash is a cost. Every day your money sits uninvested, it’s either losing ground to inflation or missing out on yield it could be earning. The Cash Management skill lets your Agent monitor your account balances and move money automatically—sweeping excess cash into yield accounts, maintaining minimum liquidity buffers, or reallocating funds when conditions in your portfolio are met. You set the rules. Your Agent makes sure the money is always working.
Internal Account Movement
Your Agent can move cash between your Public accounts—from your brokerage into your High-Yield Cash Account, Bond Account, Treasury holdings or even IRA accounts—based on balance thresholds, time triggers, or portfolio conditions you define.
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External Deposits
Your Agent can trigger or respond to incoming deposits from your linked bank account—putting new cash to work as soon as it arrives, or holding it until specific market conditions are met.
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Portfolio Performance
Your Agent will be able to read your portfolio’s overall performance—gains, losses, and returns over time—and use that data to trigger cash movements, rebalancing actions, or risk management decisions.
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Dividend Reinvesting coming soon
Your Agent will be able to capture incoming dividends and automatically reinvest them—back into the same stock, into a different asset, or into a yield account—based on rules you set in advance.
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Bank Balance Checks coming soon
Your Agent will be able to check your linked external bank balance before triggering deposits or cash movements—ensuring you never overdraw or move more than you intend to.
Rebalancing
Your Agent will be able to monitor your portfolio’s allocation across assets or asset classes and automatically rebalance when drift exceeds a threshold you define—keeping your portfolio in line with your target mix without manual intervention.
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