client-report
$
npx mdskill add anthropics/financial-services/client-reportGenerate professional client performance reports with portfolio returns and market commentary.
- Creates quarterly or annual statements for client distribution.
- Depends on portfolio data APIs and market benchmark feeds.
- Selects reporting periods and account filters from user input.
- Delivers formatted tables, charts, and narrative summaries.
SKILL.md
.github/skills/client-reportView on GitHub ↗
--- name: client-report description: Generate professional client-facing performance reports with portfolio returns, allocation breakdowns, and market commentary. Suitable for quarterly or annual distribution. Triggers on "client report", "performance report", "quarterly report for [client]", "generate reports", or "client statement". --- # Client Report ## Workflow ### Step 1: Report Parameters - **Client name** and household - **Reporting period**: Quarter, YTD, annual, custom range - **Accounts**: All accounts or specific account - **Benchmark**: S&P 500, 60/40 blend, custom benchmark matching IPS - **Firm branding**: Logo, colors, disclaimers ### Step 2: Performance Summary **Household Summary:** | | QTD | YTD | 1-Year | 3-Year Ann. | 5-Year Ann. | ITD Ann. | |---|-----|-----|--------|-------------|-------------|----------| | Portfolio | | | | | | | | Benchmark | | | | | | | | +/- | | | | | | | **By Account:** | Account | Type | Value | QTD | YTD | Benchmark | |---------|------|-------|-----|-----|-----------| | Joint Taxable | Brokerage | | | | | | John IRA | Traditional | | | | | | Jane Roth | Roth IRA | | | | | | 529 Plan | Education | | | | | | **Total** | | | | | | ### Step 3: Allocation Overview Current allocation with visual (pie chart or bar chart): | Asset Class | % of Portfolio | $ Value | Benchmark % | |------------|---------------|---------|-------------| | | | | | ### Step 4: Holdings Detail | Security | Asset Class | Shares | Price | Value | % of Portfolio | QTD Return | |----------|-----------|--------|-------|-------|---------------|-----------| | | | | | | | | ### Step 5: Market Commentary Brief market summary tailored to the client's level of sophistication: - What happened in markets this quarter (2-3 sentences) - How it affected the portfolio - Outlook and positioning rationale (2-3 sentences) - No jargon for retail clients; can be more technical for sophisticated investors ### Step 6: Activity Summary - Trades executed during the period - Contributions and withdrawals - Dividends and interest received - Fees charged - Rebalancing activity ### Step 7: Planning Notes - Progress toward financial goals (retirement, education, etc.) - Any plan changes or recommendations - Upcoming action items - Next review date ### Step 8: Output - PDF report (8-12 pages) with firm branding - Word document for customization - Excel data appendix (optional) **Report Structure:** 1. Cover page (client name, period, firm logo) 2. Executive summary (1 page) 3. Performance summary (1-2 pages) 4. Allocation overview with charts (1 page) 5. Holdings detail (1-2 pages) 6. Market commentary (1 page) 7. Activity summary (1 page) 8. Planning notes (1 page) 9. Disclosures and disclaimers (1 page) ## Important Notes - Performance must be calculated net of fees unless client/compliance requires gross - Always include appropriate disclaimers and disclosures (past performance, risk factors) - Reports should be consistent across clients — use a standard template - Match the level of detail to the client — some want every holding, others want a one-page summary - Benchmark selection matters — use the benchmark from the IPS, not whatever looks best - Review for compliance approval before first distribution of a new template
More from anthropics/financial-services
- 3-statement-modelComplete, populate and fill out 3-statement financial model templates (Income Statement, Balance Sheet, Cash Flow Statement) . Use when asked to fill out model templates, complete existing model frameworks, populate financial models with data, complete a partially filled IS/BS/CF framework, or link integrated financial statements within an existing template structure. Triggers include requests to fill in, complete, or populate a 3-statement model template
- accrual-scheduleBuild the period-end accrual schedule — for each accrual, compute the entry, cite the support, and draft the JE. Use during month-end close; the JE is a draft for controller approval, not a posting.
- ai-readinessScan the portfolio for the highest-leverage AI opportunities and rank where to deploy operating-partner time. Ingests quarterly updates and financials across multiple portfolio companies, identifies quick wins at each, and stacks them into a single ranked action list. Use during quarterly portfolio reviews, annual planning, or when deciding which companies get AI investment first. Triggers on "AI readiness", "AI opportunity scan", "where should we deploy AI", "AI across the portfolio", "AI quick wins", or "which portcos are ready for AI".
- audit-xlsAudit a spreadsheet for formula accuracy, errors, and common mistakes. Scopes to a selected range, a single sheet, or the entire model (including financial-model integrity checks like BS balance, cash tie-out, and logic sanity). Triggers on "audit this sheet", "check my formulas", "find formula errors", "QA this spreadsheet", "sanity check this", "debug model", "model check", "model won't balance", "something's off in my model", "model review".
- bond-futures-basisAnalyze the bond futures basis by pricing futures, identifying the cheapest-to-deliver, and comparing with yield curves to assess delivery option value and basis trading opportunities. Use when analyzing bond futures, computing the basis, identifying CTD bonds, calculating implied repo rates, or evaluating basis trades.
- bond-relative-valuePerform relative value analysis on bonds by combining pricing, yield curve context, credit spreads, and scenario stress testing. Use when analyzing bond richness/cheapness, computing spread decomposition, comparing bonds, assessing bond value vs curves, or running rate shock scenarios.
- break-traceRoot-cause a reconciliation break to its source transaction or posting — follow the audit trail from the break row back to the originating entry on each side and state what differs and why. Use after gl-recon has classified a break.
- buyer-listBuild and organize a universe of potential acquirers for sell-side M&A processes. Identifies strategic and financial buyers, assesses fit, and prioritizes outreach. Use when preparing for a sell-side mandate, building a buyer universe, or evaluating potential partners. Triggers on "buyer list", "buyer universe", "potential acquirers", "who would buy this", "strategic buyers", or "financial sponsors".
- catalyst-calendarBuild and maintain a calendar of upcoming catalysts across a coverage universe — earnings dates, conferences, product launches, regulatory decisions, and macro events. Helps prioritize attention and position ahead of events. Triggers on "catalyst calendar", "upcoming events", "what's coming up", "earnings calendar", "event calendar", or "catalyst tracker".
- cim-builderStructure and draft a Confidential Information Memorandum for sell-side M&A processes. Organizes company information into a professional, investor-ready document with consistent formatting and narrative flow. Use when preparing sell-side materials, drafting a CIM, or organizing company data for a sale process. Triggers on "CIM", "confidential information memorandum", "offering memorandum", "info memo", "draft CIM", or "sell-side materials".