Financial Report Interpreter
Overview
Turns income statement, balance sheet, and cash flow inputs into plain-language signals, ratio commentary, and management follow-up questions. It is a descriptive interpretation aid and does not connect to external accounting systems.
Trigger
Use this skill when the user wants to:
- get structured guidance on financial report interpreter
- apply best-practice frameworks to their financial situation
- generate templates and checklists for financial planning
Example prompts
- "Explain what this balance sheet says about liquidity."
- "What should I worry about in this cash flow statement?"
- "Interpret these gross margin and operating margin changes."