startup-business-analyst-financial-projections
Create detailed 3-5 year financial model with revenue, costs, cash flow, and scenarios
Best use case
startup-business-analyst-financial-projections is best used when you need a repeatable AI agent workflow instead of a one-off prompt.
Create detailed 3-5 year financial model with revenue, costs, cash flow, and scenarios
Teams using startup-business-analyst-financial-projections should expect a more consistent output, faster repeated execution, less prompt rewriting.
When to use this skill
- You want a reusable workflow that can be run more than once with consistent structure.
When not to use this skill
- You only need a quick one-off answer and do not need a reusable workflow.
- You cannot install or maintain the underlying files, dependencies, or repository context.
Installation
Claude Code / Cursor / Codex
Manual Installation
- Download SKILL.md from GitHub
- Place it in
.claude/skills/startup-business-analyst-financial-projections/SKILL.mdinside your project - Restart your AI agent — it will auto-discover the skill
How startup-business-analyst-financial-projections Compares
| Feature / Agent | startup-business-analyst-financial-projections | Standard Approach |
|---|---|---|
| Platform Support | Not specified | Limited / Varies |
| Context Awareness | High | Baseline |
| Installation Complexity | Unknown | N/A |
Frequently Asked Questions
What does this skill do?
Create detailed 3-5 year financial model with revenue, costs, cash flow, and scenarios
Where can I find the source code?
You can find the source code on GitHub using the link provided at the top of the page.
SKILL.md Source
# Financial Projections Create a comprehensive 3-5 year financial model with revenue projections, cost structure, headcount planning, cash flow analysis, and three-scenario modeling (conservative, base, optimistic) for startup financial planning and fundraising. ## Use this skill when - Working on financial projections tasks or workflows - Needing guidance, best practices, or checklists for financial projections ## Do not use this skill when - The task is unrelated to financial projections - You need a different domain or tool outside this scope ## Instructions - Clarify goals, constraints, and required inputs. - Apply relevant best practices and validate outcomes. - Provide actionable steps and verification. - If detailed examples are required, open `resources/implementation-playbook.md`. ## What This Command Does This command builds a complete financial model including: 1. Cohort-based revenue projections 2. Detailed cost structure (COGS, S&M, R&D, G&A) 3. Headcount planning by role 4. Monthly cash flow analysis 5. Key metrics (CAC, LTV, burn rate, runway) 6. Three-scenario analysis ## Instructions for Claude When this command is invoked, follow these steps: ### Step 1: Gather Model Inputs Ask the user for essential information: **Business Model:** - Revenue model (SaaS, marketplace, transaction, etc.) - Pricing structure (tiers, average price) - Target customer segments **Starting Point:** - Current MRR/ARR (if any) - Current customer count - Current team size - Current cash balance **Growth Assumptions:** - Expected monthly customer acquisition - Customer retention/churn rate - Average contract value (ACV) - Sales cycle length **Cost Assumptions:** - Gross margin or COGS % - S&M budget or CAC target - Current burn rate (if applicable) **Funding:** - Planned fundraising (amount, timing) - Pre/post-money valuation ### Step 2: Activate startup-financial-modeling Skill The startup-financial-modeling skill provides frameworks. Reference it for: - Revenue modeling approaches - Cost structure templates - Headcount planning guidance - Scenario analysis methods ### Step 3: Build Revenue Model **Use Cohort-Based Approach:** For each month, track: 1. New customers acquired 2. Existing customers retained (apply churn) 3. Revenue per cohort (customers × ARPU) 4. Expansion revenue (upsells) **Formula:** ``` MRR (Month N) = Σ across all cohorts: (Cohort Size × Retention Rate × ARPU) + Expansion ``` **Project:** - Monthly detail for Year 1-2 - Quarterly detail for Year 3 - Annual for Years 4-5 ### Step 4: Model Cost Structure Break down operating expenses: **1. Cost of Goods Sold (COGS)** - Hosting/infrastructure (% of revenue or fixed) - Payment processing (% of revenue) - Variable customer support - Third-party services Target gross margin: - SaaS: 75-85% - Marketplace: 60-70% - E-commerce: 40-60% **2. Sales & Marketing (S&M)** - Sales team compensation - Marketing programs - Tools and software - Target: 40-60% of revenue (early stage) **3. Research & Development (R&D)** - Engineering team - Product management - Design - Target: 30-40% of revenue **4. General & Administrative (G&A)** - Executive team - Finance, legal, HR - Office and facilities - Target: 15-25% of revenue ### Step 5: Plan Headcount Create role-by-role hiring plan: **Reference team-composition-analysis skill for:** - Roles by stage - Compensation benchmarks - Hiring velocity assumptions **For each role:** - Title and department - Start date (month/quarter) - Base salary - Fully-loaded cost (salary × 1.3-1.4) - Equity grant **Track departmental ratios:** - Engineering: 40-50% of team - Sales & Marketing: 25-35% - G&A: 10-15% - Product/CS: 10-15% ### Step 6: Calculate Cash Flow Monthly cash flow projection: ``` Beginning Cash Balance + Cash Collected (revenue, consider payment terms) - Operating Expenses - CapEx = Ending Cash Balance Monthly Burn = Revenue - Expenses (if negative) Runway = Cash Balance / Monthly Burn Rate ``` **Include Funding Events:** - Timing of raises - Amount raised - Use of proceeds - Impact on cash balance ### Step 7: Compute Key Metrics Calculate monthly/quarterly: **Unit Economics:** - CAC (S&M spend / new customers) - LTV (ARPU × margin% / churn rate) - LTV:CAC ratio (target > 3.0) - CAC payback period (target < 18 months) **Efficiency Metrics:** - Burn multiple (net burn / net new ARR) - target < 2.0 - Magic number (net new ARR / S&M spend) - target > 0.5 - Rule of 40 (growth% + margin%) - target > 40% **Cash Metrics:** - Monthly burn rate - Runway in months - Cash efficiency ### Step 8: Create Three Scenarios Build conservative, base, and optimistic projections: **Conservative (P10):** - New customers: -30% vs. base - Churn: +20% vs. base - Pricing: -15% vs. base - CAC: +25% vs. base **Base (P50):** - Most likely assumptions - Primary planning scenario **Optimistic (P90):** - New customers: +30% vs. base - Churn: -20% vs. base - Pricing: +15% vs. base - CAC: -25% vs. base ### Step 9: Generate Financial Model Report Create comprehensive markdown report with tables: **Section 1: Executive Summary** - 3-5 year financial snapshot - Key metrics at scale - Funding requirements **Section 2: Model Assumptions** - Revenue model and pricing - Growth assumptions - Cost structure assumptions - Headcount plan summary **Section 3: Revenue Projections** Monthly/quarterly tables showing: ``` | Month | New Customers | Total Customers | MRR | ARR | Growth % | |-------|---------------|-----------------|-----|-----|----------| ``` **Section 4: Cost Breakdown** ``` | Department | Year 1 | Year 2 | Year 3 | % Revenue | |------------|--------|--------|--------|-----------| | COGS | $X | $Y | $Z | XX% | | S&M | $X | $Y | $Z | XX% | | R&D | $X | $Y | $Z | XX% | | G&A | $X | $Y | $Z | XX% | ``` **Section 5: Headcount Plan** ``` | Department | Current | Year 1 | Year 2 | Year 3 | |------------|---------|--------|--------|--------| | Engineering| X | Y | Z | W | ``` **Section 6: Cash Flow Analysis** ``` | Quarter | Revenue | Expenses | Net Burn | Cash Balance | Runway | |---------|---------|----------|----------|--------------|--------| ``` **Section 7: Key Metrics** ``` | Metric | Year 1 | Year 2 | Year 3 | Target | |--------|--------|--------|--------|--------| | CAC | $X | $Y | $Z | <$A | | LTV | $X | $Y | $Z | >$B | | Burn Multiple | X | Y | Z | <2.0 | ``` **Section 8: Scenario Analysis** ``` | Scenario | Year 3 ARR | Customers | Burn | Runway | |----------|------------|-----------|------|--------| | Conservative | $Xم | Y | $Z | W mo | | Base | $X | Y | $Z | W mo | | Optimistic | $X | Y | $Z | W mo | ``` **Section 9: Funding Requirements** - Amount needed - Use of proceeds breakdown - Milestones to achieve - Expected valuation impact **Section 10: Validation** - Sanity checks performed - Benchmark comparisons - Risk factors - Assumptions to monitor ### Step 10: Save Model Offer to save as markdown file: - Suggest filename: `financial-projections-YYYY-MM-DD.md` - Include note that user can convert to Excel/Sheets - Provide formulas for key calculations ## Financial Model Best Practices **Do:** - Use cohort-based revenue model - Include 3 scenarios - Show monthly detail (Year 1-2) - Calculate key metrics - Validate against benchmarks - Document all assumptions - Show cash flow and runway - Include fundraising milestones **Don't:** - Be overly optimistic on growth - Underestimate costs - Forget fully-loaded compensation - Ignore cash timing - Skip scenario analysis - Use static headcount - Forget to validate ## Integration with Other Commands Pairs well with: - `/market-opportunity` - Use SOM for revenue ceiling - `/business-case` - Include projections in business case ## Example Usage ``` User: /financial-projections Claude: I'll create a comprehensive financial model for your startup. Let me gather the key inputs. What's your business model? → "B2B SaaS, subscription-based" Current state? → "$50K MRR, 100 customers, 5-person team, $500K cash" Growth assumptions? → "Expect 15% MoM growth, 10% monthly churn, $500 ACV" [Claude builds complete model with all sections] ``` ## Notes - Model building takes 45-90 minutes - Results in comprehensive planning tool - Update monthly to track vs. actuals - Share with investors and board - Use for fundraising decks - Basis for budget and hiring decisions
Related Skills
malware-analyst
Expert malware analyst specializing in defensive malware research, threat intelligence, and incident response. Masters sandbox analysis, behavioral analysis, and malware family identification.
analyzing-financial-statements
This skill calculates key financial ratios and metrics from financial statement data for investment analysis
repo-research-analyst
Conducts thorough research on repository structure, documentation, conventions, and implementation patterns. Use when onboarding to a new codebase or understanding project conventions.
firmware-analyst
Expert firmware analyst specializing in embedded systems, IoT security, and hardware reverse engineering. Masters firmware extraction, analysis, and vulnerability research for routers, IoT devices, automotive systems, and industrial controllers. Use PROACTIVELY for firmware security audits, IoT penetration testing, or embedded systems research.
business-coach
Strategic business coach (Leila Hormozi-style) providing direct, no-BS guidance on scaling, resource allocation, systems thinking, and strategic decision-making for entrepreneurs.
notion-template-business
Expert in building and selling Notion templates as a business - not just making templates, but building a sustainable digital product business. Covers template design, pricing, marketplaces, market...
quant-analyst
Build financial models, backtest trading strategies, and analyze market data. Implements risk metrics, portfolio optimization, and statistical arbitrage.
business-plan
Write, structure, and update a business plan for a solopreneur. Use when creating a plan from scratch, updating an existing plan after a pivot or new phase, or preparing a plan to share with investors, partners, or even just to clarify your own strategy. Covers executive summary, market analysis, competitive positioning, revenue model, operations plan, financial projections, and risk assessment — all adapted for a one-person business. Trigger on "write a business plan", "business plan", "create my plan", "business plan template", "update my business plan", "plan for my business", "investor pitch plan".
business-intelligence
Expert business intelligence covering dashboard design, data visualization, reporting automation, and executive insights delivery.
business-analyst
Master modern business analysis with AI-powered analytics, real-time dashboards, and data-driven insights. Build comprehensive KPI frameworks, predictive models, and strategic recommendations.
ai-startup-insights-altman
Strategic guidance for AI startup founders based on Sam Altman's insights from OpenAI's journey. Use this skill when users ask about starting an AI company, evaluating AI startup ideas, hiring for early-stage AI startups, building products with reasoning models, finding defensibility in AI, or navigating the current AI landscape. Triggers include questions like "Should I start an AI company?", "How do I hire for my AI startup?", "Is my AI startup idea good?", "How do I compete with OpenAI/big tech?", "What should I build with AI?", or "How do I find product-market fit in AI?"
ai-data-analyst
Perform comprehensive data analysis, statistical modeling, and data visualization by writing and executing self-contained Python scripts. Use when you need to analyze datasets, perform statistical tests, create visualizations, or build predictive models with reproducible, code-based workflows.