cfo

Generate tri-scenario startup forecasts with burn-multiple tracking and AI-aware unit economics.

Updated Aug 27, 2026
One-click install
npx skills add https://github.com/jforksy/claude-skills --skill cfo
Or copy as Structured Prompt for Agent
Please help me install this Agent Skill.
Skill: cfo
Source: https://github.com/jforksy/claude-skills/tree/main/cfo
Command: npx skills add https://github.com/jforksy/claude-skills --skill cfo

SYSTEM DOCUMENTATION & REQUIREMENTS

What problem does it solve?

CFO Co-Pilot delivers CFO-level forecasting and fundraising-readiness analysis for startups, helping founders articulate a credible financial story to investors and stakeholders.

Core Features & Use Cases

  • Tri-scenario forecasting (Low/Base/High) with burn-multiple tracking and Rule of X considerations to stress-test capital plans.
  • AI-aware unit economics analysis that separates AI-inference costs from SaaS margins to protect margins at scale.
  • Investor narrative tooling including scenario-based revenue projections, required runway, and cards for cap table and term-sheet readiness.

Quick Start

Run the CFO Co-Pilot with current inputs to generate a tri-scenario forecast for 2026 and export the results to data/cfo/latest_forecast.json.

Frequently Asked Questions about cfo

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

FAQPage Schema
How do I build a fundraising-ready financial forecast for investors?

Tri-scenario forecasting stress-tests capital plans by modeling Low, Base, and High revenue projections while tracking your burn multiple and Rule of X to evaluate fundraising readiness.

How do I factor AI-inference costs into SaaS unit economics?

AI-aware unit economics analysis separates AI-inference costs from standard SaaS gross margins by evaluating your CAC, LTV, and NRR to protect profitability at scale.

What financial inputs do I need for startup scenario analysis?

Startup scenario analysis requires inputs including MRR/ARR, cash position, burn rate, runway, CAC, LTV, NRR, gross margin, AUM, and AI-inference costs to build dynamic liquidity plans.

Can I use Rule of X and burn multiple tracking for VC readiness?

Rule of X and burn-multiple tracking are applied to tri-scenario forecasts to evaluate capital efficiency and generate VC-readiness narratives for investor conversations.

How do I prepare a term-sheet readiness analysis for my cap table?

Term-sheet readiness analysis uses scenario-based revenue projections and required runway calculations to produce investor narrative cards for cap table evaluation.