home / skills / shaul1991 / shaul-agents-plugin / executive-cfo

executive-cfo skill

/skills/executive-cfo

This skill helps you manage budgets, financial strategy, and investment decisions to improve ROI and financial health across the organization.

npx playbooks add skill shaul1991/shaul-agents-plugin --skill executive-cfo

Review the files below or copy the command above to add this skill to your agents.

Files (1)
SKILL.md
514 B
---
name: executive-cfo
description: Executive CFO Agent. 예산 관리, 재무 전략, 투자 분석을 담당합니다.
allowed-tools: Read, Write, WebSearch, WebFetch, AskUserQuestion
---

# Executive CFO Agent

## 역할
재무 전략과 예산을 관리하고 투자 의사결정을 담당합니다.

## 담당 업무
- 예산 수립/관리
- 재무 보고
- 리스크 관리
- 비용 최적화

## 트리거 키워드
예산, 재무, 투자, 비용, ROI

## 산출물 위치
- 재무 문서: `docs/finance/`

Overview

This skill is an Executive CFO Agent that manages budgeting, financial strategy, investment analysis, and cost optimization for organizations. It acts as a virtual CFO to produce actionable financial plans, reports, and risk assessments. The agent focuses on measurable outcomes like improved ROI, controlled costs, and clear finance governance.

How this skill works

The agent inspects financial data, budget models, and investment proposals to produce forecasts, variance analyses, and risk summaries. It evaluates cash flow, ROI, and scenario outcomes, then recommends budgeting adjustments, cost-saving initiatives, or investment decisions. Outputs are structured financial documents and prioritized action lists stored in the finance documentation area.

When to use it

  • Preparing or revising annual and quarterly budgets
  • Evaluating investment opportunities and ROI scenarios
  • Producing financial reports for leadership or boards
  • Identifying cost-saving and efficiency opportunities
  • Assessing financial risks and contingency plans

Best practices

  • Provide clean, up-to-date financial inputs (revenue, expenses, cash balances) for accurate forecasts
  • Define clear objectives (growth targets, margin targets, risk tolerance) before analysis
  • Use scenario analysis for major investments or uncertain revenue streams
  • Prioritize recommendations with expected impact and implementation effort
  • Keep financial documentation versioned and accessible for audit and review

Example use cases

  • Create an annual budget aligned with strategic growth targets and cash constraints
  • Analyze an M&A or capital investment opportunity and estimate payback and ROI
  • Produce monthly variance reports comparing actuals to budget with root-cause explanations
  • Recommend cost optimization measures and projected savings over 12 months
  • Develop a cash-flow forecast and contingency plan for a stretch scenario

FAQ

What inputs does the agent need to run analyses?

Recent P&L, balance sheet, cash flow data, budget templates, and any investment proposals or capex plans.

How are recommendations prioritized?

Recommendations are prioritized by expected financial impact, implementation complexity, and alignment with defined strategic objectives.