financial-analysis

Analyze profitability, cash flow, and valuation from financial reports.

2|Updated Mar 16, 2026
One-click install
npx skills add https://github.com/riseflame/copilot-buttAnalysis --skill financial-analysis-riseflame
Or copy as Structured Prompt for Agent
Please help me install this Agent Skill.
Skill: financial-analysis
Source: https://github.com/riseflame/copilot-buttAnalysis/tree/main/.github/skills/financial-analysis
Command: npx skills add https://github.com/riseflame/copilot-buttAnalysis --skill financial-analysis-riseflame

SYSTEM DOCUMENTATION & REQUIREMENTS

What problem does it solve?

Financial reporting mixes accrual profits with cash flow, making it hard to assess true liquidity and cash generation. This Skill helps analysts separate file profits from cash impact, track cash flow, and interpret management commentary across corporate reports.

Core Features & Use Cases

  • Profitability and cash-flow analysis across segments and periods
  • Balance sheet and debt assessment including levers for leverage and liquidity
  • Management outlook extraction and forward-looking indicators
  • Use Case: Ideal for analyzing annual or interim reports of A-share and HK-listed companies to produce a cash-centric narrative.

Quick Start

Load the latest financial report and request a structured cash-flow oriented profitability analysis highlighting cash vs accrual.

Frequently Asked Questions about financial-analysis

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

FAQPage Schema
How do I separate accrual profits from cash flow in financial reports?

To separate accrual profits from cash flow in financial reports, load the annual or interim report to generate a structured cash-flow oriented profitability analysis that explicitly highlights cash vs accrual distinctions.

Can I analyze balance sheet and debt assessment for A-share and Hong Kong stocks?

Yes, you can analyze balance sheet and debt assessment for A-share and Hong Kong stocks by loading financial disclosures into the system to evaluate leverage and liquidity levers across segments.

How do I extract management outlook and forward-looking indicators from earnings announcements?

To extract management outlook and forward-looking indicators from earnings announcements, process the financial disclosure to interpret management commentary and cross-check with notes and segment data.

What is the best way to perform cash-focused profitability analysis across segments and periods?

The best way to perform cash-focused profitability analysis across segments and periods is to request a structured analysis that cross-checks financial reports with notes and management commentary to track true cash generation.

Does step-by-step financial analysis work with interim reports and earnings announcements?

Yes, step-by-step financial analysis works with interim reports and earnings announcements, supporting detailed cash flow tracking and profitability summaries applicable to various corporate financial disclosures.