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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.
npx claudepluginhub yuping322/financial-services-plugins-new --plugin financial-analysisHow 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 ...
Audits 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.
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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: