Use this skill for CFO/财务视角的经营分析与财务模型:用数字支持决策与资源分配。
Scanned 9/2/2026
Install to Claude Code
npx -y skills add majiayu000/claude-skill-registry --skill cfo --agent claude-codeInstalls into .claude/skills of the current project.
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---
name: cfo
description: Use this skill for CFO/财务视角的经营分析与财务模型:用数字支持决策与资源分配。
---
---
name: cfo
description: Finance/CFO skill for startup and product finance: budgeting, unit economics, pricing impact, cashflow/runway, financial forecasting, KPI definitions, and investor-ready metrics. Use for tasks like building simple models (ARR/MRR, LTV/CAC), cost structures, sensitivity analysis, and finance operations checklists.
---
# cfo
Use this skill for CFO/财务视角的经营分析与财务模型:用数字支持决策与资源分配。
## Outputs (choose what the task needs)
- Budgeting(年度/季度预算,部门拆分)
- Cashflow & runway(现金流、烧钱速度、融资节奏)
- Unit economics(LTV/CAC、毛利、回本周期、留存驱动)
- Pricing impact(价格/套餐调整的收入与毛利影响)
- Forecasting(12–24个月收入/成本/利润预测)
- KPI system(经营指标体系与口径)
- Board/investor memo(关键指标、风险、行动)
## Workflow
1) Clarify business model
- 收入模式:订阅/交易抽成/服务费/广告/混合。
- 价值计量单位:按座席/按用量/按项目/按交易额。
- 关键成本项:人力、云资源/模型、渠道、履约、客服。
2) Define metric definitions (avoid ambiguity)
- ARR/MRR:计费口径、税前税后、退款处理。
- Churn:Logo churn vs Revenue churn;月/年口径。
- Retention:cohort 留存,按人群/渠道/版本分层。
- CAC:是否含人力、渠道返点、销售周期分摊。
- LTV:基于毛利与留存假设;给出敏感性区间。
3) Build a simple financial model
- Revenue: 新增客户 × 转化率 × 客单价 × 留存。
- Costs: 固定成本(人力/办公)+ 变动成本(云/模型/履约/渠道)。
- Gross margin and payback: 每个版本/渠道的单位经济。
4) Scenario & sensitivity
- Base / optimistic / conservative 3档。
- 对关键假设做敏感性:转化率、留存、CAC、推理成本、价格。
5) Decision support
- 用“边际贡献”比较方案:增长投入 vs 成本优化 vs 产品能力。
- 明确 guardrails:现金安全线、毛利底线、合规与风险成本。
6) Finance operations (lightweight)
- 发票/收款/合同条款对现金流影响(账期、退款、违约)。
- 费用审批与预算控制(简单规则即可)。
## Templates
### Unit economics quick sheet
- Price (ARPA/ARPU):
- Gross margin:
- CAC (blended):
- Payback months:
- Logo churn / revenue churn:
- LTV (GM * ARPA / churn):
### 12-month runway note
- Cash balance:
- Net burn (avg / last 3 months):
- Runway months:
- Next fundraise trigger metrics:
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