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Found 30 Skills
This skill should be used when the user asks to "create financial projections", "build a financial model", "forecast revenue", "calculate burn rate", "estimate runway", "model cash flow", or requests 3-5 year financial planning for a startup.
This skill provides an advanced financial modeling suite with DCF analysis, sensitivity testing, Monte Carlo simulations, and scenario planning for investment decisions
Generates and analyzes financial models, P&L forecasts, and cash flow projections. Transforms business assumptions into multi-year financial statements.
Build integrated financial models with 3-statement projections. Create income statement, balance sheet, and cash flow models with proper linkages.
Audit a spreadsheet for formula accuracy, errors, and common mistakes. Scopes to a selected range, a single sheet, or the entire model (including financial-model integrity checks like BS balance, cash tie-out, and logic sanity). Triggers on "audit this sheet", "check my formulas", "find formula errors", "QA this spreadsheet", "sanity check this", "debug model", "model check", "model won't balance", "something's off in my model", "model review".
Expert startup business analyst specializing in market sizing, financial modeling, competitive analysis, and strategic planning for early-stage companies. Use PROACTIVELY when the user asks about market opportunity, TAM/SAM/SOM, financial projections, unit economics, competitive landscape, team planning, startup metrics, or business strategy for pre-seed through Series A startups.
Comprehensive spreadsheet creation, editing, and analysis with support for formulas, formatting, data analysis, and visualization. When Claude needs to work with spreadsheets (.xlsx, .xlsm, .csv, ....
Create and update pitch decks, one-pagers, investor memos, accelerator applications, financial models, and fundraising materials. Use when the user needs investor-facing documents, projections, use-of-funds tables, milestone plans, or materials that must stay internally consistent across multiple fundraising assets.
Create detailed 3-5 year financial model with revenue, costs, cash flow, and scenarios
Financial analysis expertise for financial modeling (DCF, LBO, M&A), valuation, financial statement analysis, capital allocation, treasury management, and corporate finance decisions. Use when building financial models, analyzing statements, or making investment decisions.
Performs financial ratio analysis, DCF valuation, budget variance analysis, and rolling forecast construction for strategic decision-making
Headless spreadsheet engine for financial modeling, data analysis, and scenario comparison. Use when: building financial models with ratios and what-if scenarios, computing derived values from tabular data with formulas, producing .xlsx files with live formulas (not static values) for human review, any task where the agent would otherwise write imperative code to manipulate numbers that a spreadsheet does naturally. Triggers: financial model, scenario analysis, ratio computation, balance sheet, P&L, what-if, sensitivity analysis, banking ratios, spreadsheet model, build a model, projection, forecast. Do NOT use for: simple CSV/Excel read/write (use the xlsx skill), chart-only tasks, or data volumes exceeding ~5000 rows.