spreadsheet-builder

Create and edit .xlsx and .csv spreadsheets with formula-based calculations.

Updated Aug 27, 2026
One-click install
npx skills add https://github.com/GetFresh-Ventures/gxd-ceo-ai-kit --skill spreadsheet-builder
Or copy as Structured Prompt for Agent▼
Please help me install this Agent Skill.
Skill: spreadsheet-builder
Source: https://github.com/GetFresh-Ventures/gxd-ceo-ai-kit/tree/main/skills/spreadsheet-builder
Command: npx skills add https://github.com/GetFresh-Ventures/gxd-ceo-ai-kit --skill spreadsheet-builder

SYSTEM DOCUMENTATION & REQUIREMENTS

What problem does it solve?

Building and maintaining investor-grade spreadsheets is time-consuming and error-prone; this skill standardizes structure, formulas, and formatting to deliver reliable financial models, P&L templates, and forecasts that are ready for board reviews.

Core Features & Use Cases

  • Build, edit, and analyze .xlsx and .csv files using investment-grade standards.
  • Generate financial models, P&L templates, forecasting sheets, and scenario analyses for GTM or fundraising needs.
  • Produce board-ready data exports and KPI dashboards with clean, auditable formulas and clear assumptions.

Quick Start

Build a financial model for a scenario and export the results to an Excel workbook.

Frequently Asked Questions about spreadsheet-builder

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

FAQPage Schema
How do I build an investor-grade financial model in Excel?▼

To build an investor-grade financial model, you need to automate spreadsheet creation with standardized formulas, blue-input assumptions, and color-coding. This ensures your P&L templates and forecasts are auditable, error-free, and ready for board reviews.

What is the best way to create board-ready P&L templates?▼

The best way to create board-ready P&L templates is by enforcing standardization across .xlsx and .csv files. Using formula-based calculations and clear assumption inputs ensures your financials are clean, reliable, and structured for audits.

Can I automate scenario analysis and forecasting in .xlsx files?▼

Yes, you can automate scenario analysis and forecasting in .xlsx files by applying investment-grade standards. This process enforces consistent formula-based calculations and color-coding to generate accurate, auditable outputs for fundraising needs.

Does this spreadsheet automation support both .csv and .xlsx formats?▼

Yes, spreadsheet automation supports both .xlsx and .csv formats. You can build, edit, and analyze financial models and KPI dashboards across these formats while maintaining standardized, auditable formulas for board-ready data exports.

Why use standardized formatting for financial forecasting spreadsheets?▼

You use standardized formatting for financial forecasting spreadsheets to eliminate manual errors and ensure auditability. Enforcing blue-input assumptions and formula-based calculations produces reliable, investor-grade financials that scale without breaking.

How to clean data for a board-ready KPI dashboard export?▼

To clean data for a board-ready KPI dashboard, you must standardize your spreadsheet structure and formulas. Automating this process ensures error-free outputs with clear assumptions, turning raw data into actionable financials for board reviews.