financial-statements-standard-format-indirect-method

Sub-skill of financial-statements: Standard Format (Indirect Method) (+1).

5 stars

Best use case

financial-statements-standard-format-indirect-method is best used when you need a repeatable AI agent workflow instead of a one-off prompt.

Sub-skill of financial-statements: Standard Format (Indirect Method) (+1).

Teams using financial-statements-standard-format-indirect-method 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

$curl -o ~/.claude/skills/standard-format-indirect-method/SKILL.md --create-dirs "https://raw.githubusercontent.com/vamseeachanta/workspace-hub/main/.agents/skills/_archive/business/finance/financial-statements/standard-format-indirect-method/SKILL.md"

Manual Installation

  1. Download SKILL.md from GitHub
  2. Place it in .claude/skills/standard-format-indirect-method/SKILL.md inside your project
  3. Restart your AI agent — it will auto-discover the skill

How financial-statements-standard-format-indirect-method Compares

Feature / Agentfinancial-statements-standard-format-indirect-methodStandard Approach
Platform SupportNot specifiedLimited / Varies
Context Awareness High Baseline
Installation ComplexityUnknownN/A

Frequently Asked Questions

What does this skill do?

Sub-skill of financial-statements: Standard Format (Indirect Method) (+1).

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

# Standard Format (Indirect Method) (+1)

## Standard Format (Indirect Method)


```
CASH FLOWS FROM OPERATING ACTIVITIES
Net income (loss)
Adjustments to reconcile net income to net cash from operations:
  Depreciation and amortization
  Stock-based compensation
  Amortization of debt issuance costs
  Deferred income taxes
  Loss (gain) on disposal of assets
  Impairment charges
  Other non-cash items
Changes in operating assets and liabilities:
  Accounts receivable
  Inventory
  Prepaid expenses and other assets
  Accounts payable
  Accrued liabilities
  Deferred revenue
  Other liabilities
Net Cash Provided by (Used in) Operating Activities

CASH FLOWS FROM INVESTING ACTIVITIES
  Purchases of property and equipment
  Purchases of investments
  Proceeds from sale/maturity of investments
  Acquisitions, net of cash acquired
  Other investing activities
Net Cash Provided by (Used in) Investing Activities

CASH FLOWS FROM FINANCING ACTIVITIES
  Proceeds from issuance of debt
  Repayment of debt
  Proceeds from issuance of common stock
  Repurchases of common stock
  Dividends paid
  Payment of debt issuance costs
  Other financing activities
Net Cash Provided by (Used in) Financing Activities

Effect of exchange rate changes on cash

Net Increase (Decrease) in Cash and Cash Equivalents
Cash and cash equivalents, beginning of period
Cash and cash equivalents, end of period
```


## GAAP Presentation Requirements (ASC 230 / IAS 7)


- Indirect method is most common (start with net income, adjust for non-cash items)
- Direct method is permitted but rarely used (requires supplemental indirect reconciliation)
- Interest paid and income taxes paid must be disclosed (either on the face or in notes)
- Non-cash investing and financing activities disclosed separately (e.g., assets acquired under leases, stock issued for acquisitions)
- Cash equivalents: short-term, highly liquid investments with original maturities of 3 months or less

Related Skills

tax-filing-payment-method-navigation

5
from vamseeachanta/workspace-hub

Navigate tax filing payment options while avoiding entry of sensitive financial data

multi-format-transaction-parser

5
from vamseeachanta/workspace-hub

Parse and consolidate financial transaction data across multiple CSV formats and years

multi-format-csv-parser-with-deduplication

5
from vamseeachanta/workspace-hub

Parse brokerage CSV exports that exist in multiple formats with overlapping data across files

multi-format-csv-detection-and-deduplication

5
from vamseeachanta/workspace-hub

Detect and handle multiple CSV format versions from the same data source; deduplicate records across format variants

handle-browser-automation-financial-site-blocks

5
from vamseeachanta/workspace-hub

Workflow for working around Chrome extension blocks on financial sites during data collection tasks

handle-blocked-financial-sites-workaround

5
from vamseeachanta/workspace-hub

Workflow for accessing financial account data when browser automation is blocked on brokerage sites

handle-blocked-financial-sites-data-export

5
from vamseeachanta/workspace-hub

Workflow for extracting data from blocked financial sites when browser automation is restricted

financial-site-bypass-workflow

5
from vamseeachanta/workspace-hub

Workflow for accessing restricted financial sites when browser automation is blocked

financial-data-export-workflow

5
from vamseeachanta/workspace-hub

Structured process for exporting and analyzing multi-year brokerage transaction history when browser automation is blocked

financial-analysis

5
from vamseeachanta/workspace-hub

Domain expertise for financial markets, investment analysis, corporate finance, risk management, and energy finance.

financial-statements

5
from vamseeachanta/workspace-hub

Generate income statements, balance sheets, and cash flow statements with GAAP presentation and period-over-period comparison.

discipline-refactor-standard-folders-module-structure

5
from vamseeachanta/workspace-hub

Sub-skill of discipline-refactor: Standard Folders → Module Structure (+1).