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Financial Analyst

Performs financial ratio analysis, DCF valuation, budget variance analysis, and rolling forecast construction for strategic decision-making. Use when analyzing financial statements, building valuation models, assessing budget variances, or constructing financial projections and forecasts. Also applicable when users mention financial modeling, cash flow analysis, company valuation, financial projections, or spreadsheet analysis.

$ npx promptcreek add financial-analyst

Auto-detects your installed agents and installs the skill to each one.

What This Skill Does

This skill provides a production-ready financial analysis toolkit for ratio analysis, DCF valuation, budget variance analysis, and rolling forecast construction. It is designed for financial modeling, forecasting, budgeting, management reporting, and investment analysis. It is useful for finance professionals and business analysts.

When to Use

  • Perform ratio analysis on financial statements
  • Build a DCF model for company valuation
  • Analyze budget variances
  • Construct rolling forecasts
  • Generate executive summaries of financial performance
  • Identify trends and benchmarks

Key Features

Calculates financial ratios across 5 categories
Builds DCF models with WACC and terminal value
Constructs budget variance analyses
Develops driver-based forecasts
Generates executive summaries
Validates input data completeness

Installation

Run in your project directory:
$ npx promptcreek add financial-analyst

Auto-detects your installed agents (Claude Code, Cursor, Codex, etc.) and installs the skill to each one.

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Financial Analyst Skill

Overview

Production-ready financial analysis toolkit providing ratio analysis, DCF valuation, budget variance analysis, and rolling forecast construction. Designed for financial modeling, forecasting & budgeting, management reporting, business performance analysis, and investment analysis.

5-Phase Workflow

Phase 1: Scoping

  • Define analysis objectives and stakeholder requirements
  • Identify data sources and time periods
  • Establish materiality thresholds and accuracy targets
  • Select appropriate analytical frameworks

Phase 2: Data Analysis & Modeling

  • Collect and validate financial data (income statement, balance sheet, cash flow)
  • Validate input data completeness before running ratio calculations (check for missing fields, nulls, or implausible values)
  • Calculate financial ratios across 5 categories (profitability, liquidity, leverage, efficiency, valuation)
  • Build DCF models with WACC and terminal value calculations; cross-check DCF outputs against sanity bounds (e.g., implied multiples vs. comparables)
  • Construct budget variance analyses with favorable/unfavorable classification
  • Develop driver-based forecasts with scenario modeling

Phase 3: Insight Generation

  • Interpret ratio trends and benchmark against industry standards
  • Identify material variances and root causes
  • Assess valuation ranges through sensitivity analysis
  • Evaluate forecast scenarios (base/bull/bear) for decision support

Phase 4: Reporting

  • Generate executive summaries with key findings
  • Produce detailed variance reports by department and category
  • Deliver DCF valuation reports with sensitivity tables
  • Present rolling forecasts with trend analysis

Phase 5: Follow-up

  • Track forecast accuracy (target: +/-5% revenue, +/-3% expenses)
  • Monitor report delivery timeliness (target: 100% on time)
  • Update models with actuals as they become available
  • Refine assumptions based on variance analysis

Tools

1. Ratio Calculator (scripts/ratio_calculator.py)

Calculate and interpret financial ratios from financial statement data.

Ratio Categories:

  • Profitability: ROE, ROA, Gross Margin, Operating Margin, Net Margin
  • Liquidity: Current Ratio, Quick Ratio, Cash Ratio
  • Leverage: Debt-to-Equity, Interest Coverage, DSCR
  • Efficiency: Asset Turnover, Inventory Turnover, Receivables Turnover, DSO
  • Valuation: P/E, P/B, P/S, EV/EBITDA, PEG Ratio
python scripts/ratio_calculator.py sample_financial_data.json

python scripts/ratio_calculator.py sample_financial_data.json --format json

python scripts/ratio_calculator.py sample_financial_data.json --category profitability

2. DCF Valuation (scripts/dcf_valuation.py)

Discounted Cash Flow enterprise and equity valuation with sensitivity analysis.

Features:

  • WACC calculation via CAPM
  • Revenue and free cash flow projections (5-year default)
  • Terminal value via perpetuity growth and exit multiple methods
  • Enterprise value and equity value derivation
  • Two-way sensitivity analysis (discount rate vs growth rate)
python scripts/dcf_valuation.py valuation_data.json

python scripts/dcf_valuation.py valuation_data.json --format json

python scripts/dcf_valuation.py valuation_data.json --projection-years 7

3. Budget Variance Analyzer (scripts/budget_variance_analyzer.py)

Analyze actual vs budget vs prior year performance with materiality filtering.

Features:

  • Dollar and percentage variance calculation
  • Materiality threshold filtering (default: 10% or $50K)
  • Favorable/unfavorable classification with revenue/expense logic
  • Department and category breakdown
  • Executive summary generation
python scripts/budget_variance_analyzer.py budget_data.json

python scripts/budget_variance_analyzer.py budget_data.json --format json

python scripts/budget_variance_analyzer.py budget_data.json --threshold-pct 5 --threshold-amt 25000

4. Forecast Builder (scripts/forecast_builder.py)

Driver-based revenue forecasting with rolling cash flow projection and scenario modeling.

Features:

  • Driver-based revenue forecast model
  • 13-week rolling cash flow projection
  • Scenario modeling (base/bull/bear cases)
  • Trend analysis using simple linear regression (standard library)
python scripts/forecast_builder.py forecast_data.json

python scripts/forecast_builder.py forecast_data.json --format json

python scripts/forecast_builder.py forecast_data.json --scenarios base,bull,bear

Knowledge Bases

| Reference | Purpose |

|-----------|---------|

| references/financial-ratios-guide.md | Ratio formulas, interpretation, industry benchmarks |

| references/valuation-methodology.md | DCF methodology, WACC, terminal value, comps |

| references/forecasting-best-practices.md | Driver-based forecasting, rolling forecasts, accuracy |

| references/industry-adaptations.md | Sector-specific metrics and considerations (SaaS, Retail, Manufacturing, Financial Services, Healthcare) |

Templates

| Template | Purpose |

|----------|---------|

| assets/variance_report_template.md | Budget variance report template |

| assets/dcf_analysis_template.md | DCF valuation analysis template |

| assets/forecast_report_template.md | Revenue forecast report template |

Key Metrics & Targets

| Metric | Target |

|--------|--------|

| Forecast accuracy (revenue) | +/-5% |

| Forecast accuracy (expenses) | +/-3% |

| Report delivery | 100% on time |

| Model documentation | Complete for all assumptions |

| Variance explanation | 100% of material variances |

Input Data Format

All scripts accept JSON input files. See assets/sample_financial_data.json for the complete input schema covering all four tools.

Dependencies

None - All scripts use Python standard library only (math, statistics, json, argparse, datetime). No numpy, pandas, or scipy required.

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Supported Agents

Claude CodeCursorCodexGemini CLIAiderWindsurfOpenClaw

Details

License
MIT
Source
seeded
Published
3/17/2026

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