cap-table

Model cap table ownership and dilution across fundraising scenarios.

1|Updated Feb 3, 2026
One-click install
npx skills add https://github.com/sahin/claude-skills --skill cap-table-sahin
Or copy as Structured Prompt for Agent
Please help me install this Agent Skill.
Skill: cap-table
Source: https://github.com/sahin/claude-skills/tree/main/cap-table
Command: npx skills add https://github.com/sahin/claude-skills --skill cap-table-sahin

SYSTEM DOCUMENTATION & REQUIREMENTS

What problem does it solve?

Cap table management is often error-prone and opaque, making it hard to track ownership, dilution, and fundraising impact across founders, investors, and employees.

Core Features & Use Cases

  • Cap Table Management: track founders, investors, option pool, and convertible instruments to maintain an accurate ownership snapshot.
  • Dilution Modeling: simulate pre-money and post-money outcomes across multiple rounds and option pool adjustments.
  • Fundraise Scenario Analysis: evaluate term sheets, ownership shifts, and exit implications for strategic planning.

Quick Start

Use the cap-table skill to model a proposed round and see how ownership changes in real time.

Frequently Asked Questions about cap-table

High-intent search queries and answers about installing and using this skill.

FAQPage Schema
How do I model cap table dilution across multiple fundraising rounds?

Cap table dilution is modeled by simulating pre-money and post-money outcomes across founders, investors, and the option pool for multiple rounds. The tool reads ownership data and your fundraise plan to output updated ownership percentages and scenario results.

What is the difference between pre-money and post-money option pool refreshes?

Pre-money option pool refreshes increase the pool size before new investor entry, diluting existing shareholders more heavily. Post-money refreshes adjust the pool after the round, shifting dilution impacts differently across the cap table scenario analysis.

How do I evaluate a term sheet's impact on equity ownership?

Evaluating a term sheet involves running a fundraise scenario analysis to quantify ownership shifts and exit implications. By inputting the proposed terms, the model outputs the updated ownership distribution across founders, investors, and the option pool.

Can I track convertible instruments alongside founders and investors in a cap table?

Yes, convertible instruments can be tracked alongside founders, investors, and the option pool to maintain an accurate ownership snapshot. The model consolidates these equity components to output a comprehensive view of dilution and ownership.

Do I need specific data files to run a fundraising scenario analysis?

Yes, the scenario analysis requires specific data files to function. It reads ownership data from cap_table.json, forecast data from latest_forecast.json, and fundraising parameters from fundraise_plan.json to output updated ownership and scenario results.

What is the best way to simulate multiple fundraising rounds and option pool adjustments?

Simulating multiple fundraising rounds requires modeling pre-money versus post-money scenarios while adjusting the option pool incrementally. This approach evaluates term sheets and ownership shifts sequentially to output accurate dilution outcomes.