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support-finance-tracker - Manage budgets, cash flow, investments, and compliance

Analyzes business finances through budgeting, cash-flow forecasting, investment evaluation, performance reporting, risk management, and compliance controls.

Tags

Updated: 2026-10-06

Capabilities

Typical Inputs

Typical Outputs

What this skill does

  • Develop budgets
  • Forecast cash flow
  • Analyze investments
  • Optimize payment timing
  • Assess financial risks
  • Build financial controls
  • Prepare audit documentation
  • Track performance KPIs

Inputs

  • Financial data
  • Budget and actual amounts
  • Historical cash-flow data
  • Payment schedules
  • Investment cash flows
  • Project assumptions
  • Regulatory requirements

Outputs

  • Budget variance analyses
  • Cash-flow forecasts
  • Investment analysis reports
  • Financial reporting dashboards
  • Risk and opportunity assessments
  • Optimized payment schedules
  • Audit trails and compliance documentation

Requirements

    Source

    • Spec: SKILL.md
    finance
    budgeting
    cash-flow
    investment-analysis
    financial-reporting
    compliance
    risk-management
    Develop budgets
    Forecast cash flow
    Analyze investments
    Optimize payment timing
    Financial data
    Budget and actual amounts
    Historical cash-flow data
    Budget variance analyses
    Cash-flow forecasts
    Investment analysis reports