From financial-analysis
Audits Excel financial models for circular references, broken formulas, hardcoded overrides, balance sheet imbalances, cash flow mismatches, and logic gaps. Use for debugging ties, unexpected results, or pre-client reviews.
How this skill is triggered — by the user, by Claude, or both
Slash command
/financial-analysis:check-modelThe summary Claude sees in its skill listing — used to decide when to auto-load this skill
description: Debug and audit financial models for errors — circular references, broken formulas, hardcoded overrides, balance sheet imbalances, cash flow mismatches, and logic gaps. Use when a model isn't tying, producing unexpected results, or before sending to a client or IC. Triggers on "debug model", "model check", "audit model", "model won't balance", "something's off in my model", "check ...
description: Debug and audit financial models for errors — circular references, broken formulas, hardcoded overrides, balance sheet imbalances, cash flow mismatches, and logic gaps. Use when a model isn't tying, producing unexpected results, or before sending to a client or IC. Triggers on "debug model", "model check", "audit model", "model won't balance", "something's off in my model", "check my model", "QA model", or "model review".
Tab & Layout Review:
Formula Consistency:
Balance Sheet:
Cash Flow Statement:
Income Statement:
Circular References:
Reasonableness:
Sensitivity & Edge Cases:
Cross-Tab Consistency:
DCF:
LBO:
Merger Model:
3-Statement:
Generate a model audit report:
Summary:
Issue Log:
| # | Tab | Cell/Range | Severity | Category | Description | Suggested Fix |
|---|---|---|---|---|---|---|
| 1 | Critical/Warning/Info | Formula/Logic/Balance/Hardcode |
Severity Definitions:
npx claudepluginhub yuping322/financial-services-plugins-new --plugin financial-analysisAudits spreadsheets for formula errors, hardcodes, inconsistencies, circular references, and financial model integrity including BS balance, cash tie-outs, and logic checks. Scopes to range, sheet, or full workbook.
Completes and populates 3-statement financial model templates (Income Statement, Balance Sheet, Cash Flow Statement) in Excel using Office JS or Python/openpyxl with formula linkages and projections.
Use this skill for hands-on Excel financial model work: building models from scratch (SaaS, three-statement, revenue/COGS/EBITDA), auditing a spreadsheet for formula errors, explaining or mapping out model logic, converting cell references to named ranges, running what-if or scenario analysis, goal-seeking (what input value produces a target output?), or running Monte Carlo simulations. Also use when someone has inherited an unfamiliar model, calls it a "black box", or needs a specific formula (like WACC) checked. The trigger is a user who has a spreadsheet and needs to do something with it. Do NOT use for accounting theory, tax questions, investment advice, or finance questions with no model attached.