Audit 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".
Copy the install command and let the AI configure it · recommended for beginners
Please install the "audit-xls" skill from askskill: 1. Download https://raw.githubusercontent.com/anthropics/financial-services/main/plugins/agent-plugins/pitch-agent/skills/audit-xls/SKILL.md 2. Save it as ~/.claude/skills/audit-xls/SKILL.md 3. Reload skills and tell me it's ready
Audit formulas and data for accuracy and mistakes. Scope determines depth — from quick formula checks on a selection up to full financial-model integrity audits.
If the user already gave a scope, use it. Otherwise ask them:
What scope do you want me to audit?
- selection — just the currently selected range
- sheet — the current active sheet only
- model — the whole workbook, including financial-model integrity checks (BS balance, cash tie-out, roll-forwards, logic sanity)
The model scope is the deepest — use it for DCF, LBO, 3-statement, merger, comps, or any integrated financial model before sending to a client or IC.
Run these regardless of scope:
| Check | What to look for |
|---|---|
| Formula errors | #REF!, #VALUE!, #N/A, #DIV/0!, #NAME? |
| Hardcodes inside formulas | =A1*1.05 — the 1.05 should be a cell reference |
| Inconsistent formulas | A formula that breaks the pattern of its neighbors in a row/column |
| Off-by-one ranges | SUM/AVERAGE that misses the first or last row |
| Pasted-over formulas | Cell that looks like a formula but is actually a hardcoded value |
| Circular references | Intentional or accidental |
| Broken cross-sheet links | References to cells that moved or were deleted |
| Unit/scale mismatches | Thousands mixed with millions, % stored as whole numbers |
| Hidden rows/tabs | Could contain overrides or stale calculations |
If scope is model, identify the model type (DCF / LBO / 3-statement / merger / comps / custom) and run the appropriate integrity checks below.
| Check | What to look for |
|---|---|
| Input/formula separation | Are inputs clearly separated from calculations? |
| Color convention | Blue=input, black=formula, green=link — or whatever the model uses, applied consistently? |
| Tab flow | Logical order (Assumptions → IS → BS → CF → Valuation)? |
| Date headers | Consistent across all tabs? |
| Units | Consistent (thousands vs millions vs actuals)? |
| Check | Test |
|---|---|
| BS balances | Total Assets = Total Liabilities + Equity (every period) |
| RE rollforward | Prior RE + Net Income − Dividends = Current RE |
| Goodwill/intangibles | Flow from acquisition assumptions (if M&A) |
If BS doesn't balance, quantify the gap per period and trace where it breaks — nothing else matters until this is fixed.
| Check | Test |
|---|---|
| Cash tie-out | CF Ending Cash = BS Cash (every period) |
| CF sums | CFO + CFI + CFF = Δ Cash |
| D&A match | D&A on CF = D&A on IS |
| CapEx match | CapEx on CF matches PP&E rollforward on BS |
| WC changes | Signs match BS movements (ΔAR, ΔAP, ΔInventory) |
| Check | Test |
|---|---|
| Revenue build | Ties to segment/product detail |
| Tax | Tax expense = Pre-tax income × tax rate (allow for deferred tax adj) |
| Share count | Ties to dilution schedule (options, converts, buybacks) |
| Check | Flag if |
|---|---|
| Growth rates | >100% revenue growth without explanation |
| Margins | Outside industry norms |
| Terminal value dominance | TV > ~75% of DCF EV (yellow flag) |
| Hockey-stick | Projections ramp unrealistically in out-years |
| Compounding | EBITDA compounds to absurd $ by Year 10 |
| Edge cases | Model breaks at 0% or negative growth, negative EBITDA, leverage goes negative |
DCF:
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