Cash Flow Analyzer

Analyze cash flow patterns and forecast future cash positions. TRIGGERS - Use when user needs help with cash-flow-analyzer related tasks.

Winbda cf09a01 1.2 KB Updated 3 repo stars

File contents

cash-flow-analyzer

Workflow

  1. Understand Requirements - Ask about context, audience, goals, and constraints
  2. Research & Analyze - Review background info, best practices, and frameworks
  3. Create Draft - Build structured output with specific, actionable details
  4. Review & Refine - Check quality checklist, ensure consistency and completeness

Output Format

Context: [Situation/background] | Objective: [What this achieves] | Audience: [Who this is for]

Key Components

Component Details Owner Timeline
[Item 1] [Specifics] [Person/team] [Date]

Action Plan

  1. Immediate: [First steps]
  2. Short-term: [Build momentum]
  3. Medium-term: [Scale and optimize]

Success Metrics

Metric Target Method
[KPI 1] [Goal] [Track]

Quality Checklist

  • Tailored to specific context
  • Actionable next steps
  • Measurable success criteria
  • Professional formatting

Winbda/claude-skills-collection/tree/main/skills/cash-flow-analyzer commit cf09a01714

Frequently asked questions

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