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Found 62 Skills
Manage supplier invoices and vendor payments with automated receipt matching, payment scheduling, early discount optimization, and reconciliation workflows
Design, implement, review, and troubleshoot Pakistan 1LINK 1BILL integrations for bill inquiry, bill payment, fixed invoice or voucher collections, variable or top-up payments, credit-card bill payments, packages, payment-status inquiry, voids, PSID or consumer-number flows, reconciliation, and certification. Use when a bank, fintech, government entity, educational institution, utility, biller, or Pakistani business needs to add or repair a 1BILL collection workflow.
Run a monthly bookkeeping close checklist with reconciliation.
Reconcile accounts by comparing GL balances to subledgers, bank statements, or third-party data. Use when performing bank reconciliations, GL-to-subledger recs, intercompany reconciliations, or identifying and categorizing reconciling items.
Executes real-user QA sessions through public interfaces using personas, journeys, exploratory charters, test tours, edge-case probes, CFR checks, and browser evidence. Reads qa-report artifacts from <qa-output-path>/qa/ when present, captures issues/screenshots/reports under the same output tree, and classifies bugs by user impact. Use when validating a release candidate, migration, refactor, or user-facing change against production-like behavior. Do not use for AI implementation audits, task-status reconciliation, CI gate runs, integration/security/performance templates, or flaky-test triage; use agent-output-audit for those.
Generate and retrieve usage reports for billing, analytics, and reconciliation. This skill provides REST API (curl) examples.
Flux GitOps patterns for the homelab Kubernetes platform using ResourceSets. Use when: (1) Adding new Helm releases or applications to the platform, (2) Deploying a new service to Kubernetes, (3) Debugging Flux reconciliation issues or sync problems, (4) Understanding ResourceSet patterns, (5) Configuring Kustomizations and variable substitution, (6) Questions about helm-charts.yaml or platform structure, (7) GitOps workflow questions. Triggers: "add helm release", "deploy to kubernetes", "add new service", "add application", "flux resourceset", "flux reconciliation", "flux not syncing", "flux stuck", "gitops", "helm-charts.yaml", "platform values", "flux debug", "HelmRelease not ready", "kustomization", "helmrelease", "add chart", "deploy helm chart"
Design and implement straight-through processing and operational automation for securities operations. Use when measuring STP rates and identifying manual touchpoints in an existing process, replacing review-all workflows with exception-based processing, selecting automation patterns for account opening trade processing settlement reconciliation or billing, designing integration between portfolio management custodian CRM and order management systems, building exception queuing categorization and auto-resolution workflows, evaluating RPA vs API-based vs hybrid automation for legacy systems, establishing operational controls and audit trails for automated environments, conducting process mining or root cause analysis on exception volumes, or setting STP rate targets and continuous improvement programs.
Reconciliation Report Analysis Expert - Parses ONLY local Settlement Detail report files (SETTLEMENT_DETAIL_*.csv / .xlsx) for settlement amount validation, fee analysis, and reconciliation knowledge Q&A. Does NOT support Transaction Detail or Settlement Summary reports. Triggers: settlement detail parsing, settlement amount validation, fee analysis, fee model, reconciliation knowledge, interchangeFee, schemeFee, fee rules, settlement, attribution.
Finance: financial analysis, accounting, controlling, corporate development, M&A. Triggers: financial model, forecast, budget, accounting, journal entry, reconciliation, financial statements, audit, M&A, acquisition, due diligence, valuation.
Huawei Cloud BSS billing (not AWS/Azure/other clouds; refuses pricing quotes, real-name review, and any non-billing scope): balance, spend, attribution, reconciliation, coupons, stored-value cards, enterprise/partner billing. One-page briefing via hcloud. Use only when the user explicitly mentions 华为云 / Huawei Cloud / BSS and 余额/账单/对账/资源包/代金券/储值卡/企业或伙伴账务; refuses pay, renew, refund, delete.
Set up and maintain basic bookkeeping for a solopreneur business. Use when tracking income and expenses, preparing for taxes, managing invoices and receipts, understanding cash flow, or generating financial reports. Covers accounting software selection, chart of accounts, expense categorization, reconciliation, and financial statements. Not professional accounting advice — consult a CPA for complex situations. Trigger on "bookkeeping", "accounting", "track expenses", "financial records", "QuickBooks", "invoicing", "receipts", "profit and loss".