Your question is Assess Health Under Cash Volatility. Take a moment with it on the right.
Talk me through your thinking if you like. When you're confident, submit your answer and I'll grade it like a real screen (7/10 or better passes).
You're advising a company whose cash generation swings sharply from period to period because of project timing, customer payment patterns, and inventory movements. Leadership wants a clear view of whether the business is fundamentally healthy or simply hard to read through standard period-end cash metrics.
How would you assess the financial health of an operating company with highly volatile cash flows?