
Claude Skills by sunyifeisb-art
github.com/sunyifeisb-artEnsures analysis of an arbitral award for enforcement resistance covers the relevant Convention defenses, verifies the award's arithmetic independently, and addresses the applicable enforcement procedure in the forum.
Ensures a counterparty arbitration agreement redline is analyzed for interaction effects between changes, gap-filling rules under the relevant governing law, non-signatory enforceability, and multi-agreement consolidation risks.
Ensures a counterparty's procedural order markup is analyzed against the case management conference record, tactical motivations are surfaced, and aggregate procedural consequences are assessed.
Ensures a clause-versus-rules compliance audit explains the practical consequences of a frozen rules reference, tests any waiver language against non-waivable challenges under the applicable curial law, and keeps the governing law analysis distinct from the seat analysis.
Ensures candidate evaluation applies conflict-screening guidance rigorously, surfaces availability and prejudgment concerns, and produces a weighted ranking with explicit threshold screening.
Supports a gap analysis memorandum that compares document production requests against response schedules, checking both structure and substance while avoiding instance-specific conclusions.
Ensures a procedural order compliance review identifies the applicable institutional arbitration rules edition, checks for mandatory procedural milestones, and verifies article cross-references against the governing version.
Ensures a petition to vacate an arbitration award under the Federal Arbitration Act develops the available vacatur grounds, addresses timeliness and venue, and includes a cumulative prejudice argument where appropriate.
Draft a formal arbitrator nomination letter addressed to the administering institution that identifies the applicable nomination deadline, proactively discloses any potentially relevant relationships with brief explanations, confirms availability, confirms the tribunal structure and the nominee’s role, and includes a confidentiality acknowledgment.
Ensures an arbitrator-challenge submission organizes relationships under the applicable conflict-of-interest framework, treats non-disclosure as an independent challenge basis where supported, and analyzes speaking-engagement topic relevance for potential predisposition.
Draft a cost submission for an international commercial arbitration by identifying recoverable cost categories, checking billing entries for likely challenge points, handling any currency-conversion issues consistently, and addressing whether interest or other ancillary costs should be sought.
Ensures an ICC interim measures application seeking letter of credit restraint and continued supply addresses the letter of credit autonomy principle directly, tests any no-oral-modification clause against extension or waiver communications, and frames any termination issue in support of irreparable harm.
Ensures an ICC Emergency Arbitrator application correctly frames financial information as evidence of the inadequacy of monetary relief, addresses non-party limitations, and offers a cross-undertaking.
Ensures a construction delay expert report conducts a proper concurrency analysis, applies the relevant home office overhead methodology correctly, resolves float ownership under the contract, and logs all cross-document inconsistencies.
Ensures an ICC emergency interim measures application for a cross-border commercial dispute frames the governing arbitral rules, addresses non-party limitations, and considers a cross-undertaking in damages.
Ensures an arbitration agreement markup produces two distinct deliverables, annotates each change with the applicable playbook position tier, and explains institutional choice and governing-law implications at a procedural level.
Ensures a respondent-side procedural order markup analyzes hearing-time adequacy, privilege-log and insurance-disclosure risks, and due process concerns under the applicable curial law.
Ensures a respondent-side markup of a proposed interim order addresses the requested relief structure, tests any asserted risk with financial evidence, and cites the applicable interim measures framework.
Ensures a notice of arbitration identifies the parties, describes the dispute and relief sought, addresses any contractual liability cap in a neutral way, references the filing fee, and uses documented prior knowledge and settlement history as factual context where relevant.
Ensures a notice of arbitration treats service availability and data-loss allegations as distinct claims, states an accurate incident timeline, includes the governing law, and references the filing fee.
Ensures document production objections in a fund-related arbitration address confidentiality concerns with nuance, identify possible open-records exposure for certain institutional investors, and avoid blanket refusals by pairing each objection with a counter-proposal.
Ensures an ICC arbitration statement of claim correctly distinguishes seat from venue, identifies the joint venture entity as a separate legal person, addresses non-signatory joinder, and explains how to compute lost profits using the claimant's ownership share.
Ensures a statement of defense addresses procedural termination issues, applies any contractual liability limitation, corrects damages methodology where pricing tiers are involved, and includes a duty to mitigate analysis.
Ensures ICC Terms of Reference are drafted in an ICC-compliant, procedural way by identifying the parties, summarizing each side’s claims and counterclaims, bracketing disputed text for tribunal resolution, flagging contract-structure and governing-law issues for tribunal resolution, and recording agreed procedural matters.
Ensures a witness statement stays within the witness's personal knowledge, addresses overlapping operational events factually, and acknowledges limitations on equipment damage knowledge.
Ensures a comprehensive arbitral award summary memo extracts each claim, each financial component, any expert-methodology findings, any interest analysis, and any open enforcement or compliance steps from a complex multi-claim final award.
Ensures a procedural compliance checklist computes each deadline from its trigger event, identifies overlapping deadlines, flags forfeiture and waiver risks, and addresses emergency-order enforceability at the seat.
Ensures a multi-document arbitration provisions review maps governing law conflicts across agreements, identifies arbitrator selection and tribunal-constitution defects, and determines the procedural law for the seat.
Ensures an arbitration agreement markup addresses the curial law implications of the proposed seat, advocates for a multi-arbitrator panel with an explicit selection mechanism, and preserves the ability to recover consequential damages where appropriate.
Ensures a defense-oriented issues memo checks the claim for arithmetic integrity, applies any contractual liability cap, tests the pleaded fraud theory against the governing fraud standard, and identifies disclosure-based and notice-based defenses.
Ensures a claimant-side defense analysis flags potential late filing, verifies force majeure notice timeliness, identifies the wrong contractual mechanism, and checks the defense's causation arithmetic for inconsistencies.
Ensures an arbitrator disclosure issues memo analyzes income concentration and win-rate patterns quantitatively, identifies undisclosed co-panelist or other relationship issues using external sources where appropriate, and flags challenge timing as urgent where applicable.
Ensures a document production request issues memo distinguishes privileged attorney-client communications from non-privileged non-attorney communications, applies the applicable control test for documents held by non-parties, and identifies overlapping requests for consolidation.
Helps a respondent analyze an emergency interim measures application by checking financial assertions against source materials, testing proportionality, and assessing irreparable harm, urgency, and procedural requirements.
Ensures a dispute summary issues memo identifies potential mischaracterizations, selective contractual quotation, enforceability questions for restrictive covenants, and cure period analysis.
Ensures a dispute summary issues memo identifies omitted contractual provisions, corrects threshold errors, and applies the same analytical review for dilution, restrictive covenants, selective quotation, cure periods, waiver, and related factual discrepancies as the baseline scenario.
Produces a deviation analysis memo comparing a lender's markup against the original term sheet, applying a negotiation playbook to classify and recommend a response to each change.
Produces a change analysis memo comparing a borrower-marked credit agreement against the prior draft and any governing commitment materials, with issue-by-issue risk classification and procedural recommendations on each deviation.
Independently recalculates covenant compliance from source documents, flags deviations from the borrower’s compliance certificate, and produces a default-oriented analysis with next-step triage.
Cross-references borrower disclosure schedules against due diligence findings and produces a severity-organized discrepancy memorandum with issue-specific recommended next steps for each gap.
Verify closing documents against the applicable conditions-precedent framework and produce a severity-organized gap memorandum with remediation steps for each deficiency.
Reviews restructuring closing documents against closing conditions from the relevant restructuring support and related transaction documents from an ad hoc lender’s perspective, flagging discrepancies with severity calibration and recommended remedial actions.
Independently recalculate covenant metrics from financial data and credit agreement definitions, compare the results against the compliance certificate, and identify deviations together with appropriate follow-up steps.
Compares a draft credit agreement against the executed term sheet from the borrower’s perspective and produces a prioritized deviation report with economic impact analysis and recommendations.
Compares a draft credit agreement against related financing materials and produces a structured deviation report distinguishing items that appear to depart from the agreed package from items that are more likely to be negotiable market-practice changes.
Extracts and compares financial covenants across multiple credit agreements in a multi-tranche capital structure, verifies compliance certificate arithmetic, and assesses cross-agreement change-of-control and cross-default interplay.
Drafts a credit agreement amendment in standard market form incorporating an additional financing tranche or other covenant changes, and prepares an issues memo flagging cross-document inconsistencies and unresolved points.
Drafts a board resolution authorizing a senior secured revolving credit facility and a cover memo, ensuring corporate authorization is procedurally valid and aligned with the governing documents and commitment terms.
Drafts a borrower-side closing legal opinion for a senior secured credit facility and an issues memo cataloging deficiencies that prevent or qualify any required opinion.
Drafts a commitment letter and issues memo for an acquisition financing, applying limited conditionality conventions and reconciling economic terms across deal documents.