Documentation
README
Model Checker
description: Debug and audit financial models for errors — circular references, broken formulas, hardcoded overrides, balance sheet imbalances, cash flow mismatches, and logic gaps. Use when a model isn't tying, producing unexpected results, or before sending to a client or IC. Triggers on "debug model", "model check", "audit model", "model won't balance", "something's off in my model", "check my model", "QA model", or "model review".
Workflow
Step 1: Ingest the Model
- Accept the user's Excel model (.xlsx or .xlsm)
- Identify model type: DCF, LBO, merger, 3-statement, comps, returns, or custom
- Map the structure: which tabs exist, how they're linked, where inputs vs. outputs live
Step 2: Structural Checks
This is the opening of the README. Read the full README on GitHub.