olsch01 b1a28f7a85 Add Phase 4 Cash Flow Visualization with forecast endpoint and Recharts chart
New feature: Cash Flow page under Financials showing stacked area chart of
operating/reserve cash and investment balances over time. Backend forecast
endpoint integrates assessment income schedules, budget expenses, capital
project costs, and investment maturities to project 24+ months forward.
Historical months show actual journal entry balances; future months are
projected. Includes Operating/Reserve/All fund filter, 12-month sliding
window navigation, forecast reference line, and monthly detail table.

Co-Authored-By: Claude Opus 4.6 <noreply@anthropic.com>
2026-02-20 13:03:00 -05:00
Description
HOA Financial Intelligence Platform - Multi-tenant financial management for homeowner associations
2.3 MiB
Languages
TypeScript 97.6%
Shell 1.8%
PLpgSQL 0.2%
Dockerfile 0.2%
HTML 0.1%