Generates K-1 schedules for partner distributions with tax allocations
Scanned 9/2/2026
Install to Claude Code
npx -y skills add a5c-ai/babysitter --skill k1-generator --agent claude-codeInstalls into .claude/skills of the current project.
Are you the author of K1 Generator?
Add the live security badge to your README — it updates automatically with every re-scan.
[](https://www.skillsdirectory.com/skills/a5c-ai-k1-generator-babysitter)More formats (shields.io, HTML) on the badges page.
---
name: k1-generator
description: Generates K-1 schedules for partner distributions with tax allocations
allowed-tools:
- Read
- Write
- Glob
- Grep
- Bash
- WebFetch
metadata:
specialization: venture-capital
domain: business
skill-id: vc-skill-041
graph:
domains: [domain:venture-capital]
skillAreas: [skill-area:investment-analysis, skill-area:valuation-analysis, skill-area:financial-modeling]
roles: [role:financial-analyst]
---
# K1 Generator
## Overview
The K1 Generator skill produces Schedule K-1 tax documents for limited partners, handling complex tax allocations including carried interest treatment under IRC Section 1061. It ensures accurate, timely tax reporting for fund distributions.
## Capabilities
### K-1 Preparation
- Generate Schedule K-1 forms
- Calculate partner tax allocations
- Handle tiered partnership structures
- Support state K-1 requirements
### Tax Allocation
- Allocate income by character (ordinary, capital gains)
- Handle qualified opportunity zone provisions
- Apply Section 1061 carried interest rules
- Manage tax basis tracking
### Distribution Reporting
- Report distributions to partners
- Track return of capital vs. gains
- Handle installment sale treatments
- Manage escrow release allocations
### Compliance Support
- Generate required tax schedules
- Support LP tax planning
- Provide allocation explanations
- Track filing deadlines
## Usage
### Generate K-1s
```
Input: Fund activity, partner data
Process: Calculate allocations, generate forms
Output: K-1 documents by partner
```
### Calculate Tax Allocations
```
Input: Fund income/loss, allocation provisions
Process: Apply allocation methodology
Output: Partner allocation schedules
```
### Handle Distribution Reporting
```
Input: Distribution data
Process: Classify and allocate
Output: Distribution reporting schedules
```
### Prepare State K-1s
```
Input: State allocation data
Process: Generate state-specific K-1s
Output: State K-1 documents
```
## K-1 Components
| Component | Description |
|-----------|-------------|
| Box 1-3 | Ordinary income/loss |
| Box 8-10 | Capital gains/losses |
| Box 11 | Section 1231 gains/losses |
| Box 13-20 | Other items |
| Schedules | Supporting detail |
## Integration Points
- **Distribution Waterfall Calculation**: Allocation basis
- **Waterfall Calculator**: Distribution data
- **Tax Coordinator (Agent)**: Support tax work
- **Fund Accountant (Agent)**: Coordinate accounting
## Tax Considerations
| Consideration | Treatment |
|---------------|-----------|
| Section 1061 | 3-year hold for LTCG on carry |
| QSBS | Section 1202 exclusion tracking |
| State Taxes | State-specific allocations |
| Foreign Partners | Withholding requirements |
## Best Practices
1. Start K-1 preparation early in year-end
2. Coordinate with fund tax advisors
3. Provide LP tax planning estimates
4. Document allocation methodology
5. Track basis and capital accounts accurately
Is this your skill, or is something wrong with this listing? Request removal or report an issue. Author removals are honored within 72 hours.
No comments yet. Be the first to comment!