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Found 236 Skills
This skill should be used when the user asks to "connect to MySQL with PyMySQL", "use PyMySQL in Python", "query a MySQL database with Python", "set up PyMySQL", or needs guidance on PyMySQL best practices, transactions, parameterized queries, or cursor types.
Implement a complete double-entry accounting system inside any SaaS app. Users enter transactions naturally (sales, expenses, inventory) while the system auto-posts journal entries under the hood. Produces both user-friendly reports and technical financial statements (Trial Balance, Balance Sheet, Income Statement, Cash Flow). Enforces 10000% accuracy with balanced entries and seamless void/reversal mechanics. Use when building any financial, ERP, POS, or inventory system that needs proper accounting.
Diagnose and resolve RevenueCat integration issues — inspects dashboard configuration through the RevenueCat MCP, walks the SDK debug logs, and covers code-side gotchas. Use when the user says offerings are empty, products not loading, entitlement not active after purchase, paywall won't load, transactions not appearing, customer info shows no entitlements, sandbox purchase not working, or RevenueCat is broken on iOS, Android, Kotlin Multiplatform, Flutter, or React Native.
WMS NestJS module (倉儲管理 NestJS 模組). Use when working with warehouse management, inventory tracking (庫存追蹤), location management (儲位管理), stock transactions (庫存異動), batch management (批次管理), or warehouse maps (倉庫地圖). Covers LocationService, MaterialService, StockService, OrderService, WarehouseMapService. Keywords: WMS, warehouse, 倉儲, 庫存, 儲位, TypeORM, NestJS, inventory, batch, stock
Use when integrating or maintaining applications built with keep-starknet-strange/starkzap. Covers StarkSDK setup, onboarding (Signer/Privy/Cartridge), wallet lifecycle, sponsored transactions, ERC20 transfers, staking flows, tx builder batching, examples, tests, and generated presets.
Build accretion/dilution analysis for M&A transactions. Models pro forma EPS impact, synergy sensitivities, and purchase price allocation. Use when evaluating a potential acquisition, preparing merger consequences analysis for a pitch, or advising on deal terms. Triggers on "merger model", "accretion dilution", "M&A model", "pro forma EPS", "merger consequences", or "deal impact analysis".
Sui CLI client configuration, address management, and token acquisition. Use this skill when the user needs to configure the Sui client for the first time, manage environments or addresses, switch networks, get faucet tokens, check balances, recover keys from a recovery phrase, merge coin objects, or look up transactions on explorers. Also use when the user sees "Cannot find gas coin for signer address" errors or asks about sui client commands, client.yaml, sui.keystore, SuiVision, or Suiscan.
Wrap multi-write operations in transactions; use dispatchAfterCommit and idempotency patterns to ensure consistency