| name | financial-analyst |
| description | Performs financial ratio analysis, DCF valuation, budget variance analysis, and rolling forecast construction for strategic decision-making |
| zh_description | 用于金融、分析,支持投资研究、风险评估和报告生成。 |
| version | 1.0.0 |
| author | seaworld008 |
| source | in-house |
| source_url | |
| tags | ["analyst", "finance", "financial"] |
| created_at | 2026-03-18 |
| updated_at | 2026-03-20 |
| quality | 4 |
| complexity | intermediate |
Financial Analyst Skill
When to Use
Use this skill when the user wants to:
- run ratio analysis or valuation work
- build or review a DCF
- analyze budget variance or forecast performance
- turn financial statement data into executive insights
Usage
Recommended flow:
scope analysis goal
-> collect and validate inputs
-> run the appropriate model
-> interpret outputs
-> present insights and follow-up actions
Overview
Production-ready financial analysis toolkit providing ratio analysis, DCF valuation, budget variance analysis, and rolling forecast construction. Designed for financial analysts with 3-6 years experience performing 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)
- Calculate financial ratios across 5 categories (profitability, liquidity, leverage, efficiency, valuation)
- Build DCF models with WACC and terminal value calculations
- 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)