codexkit-finance-close-coordinator

Consolidate month-end close blockers, reconciliations, and evidence gaps into an action-ready view.

21|12|Updated Mar 20, 2026
One-click install
npx skills add https://github.com/hoavdc/CodexKit --skill codexkit-finance-close-coordinator
Or copy as Structured Prompt for Agent▼
Please help me install this Agent Skill.
Skill: codexkit-finance-close-coordinator
Source: https://github.com/hoavdc/CodexKit/tree/main/skills/codexkit-finance-close-coordinator
Command: npx skills add https://github.com/hoavdc/CodexKit --skill codexkit-finance-close-coordinator

SYSTEM DOCUMENTATION & REQUIREMENTS

What problem does it solve?

Keep close operations moving by organizing blockers, reconciliations, owners, and evidence gaps into a concise, decision-ready routine.

Core Features & Use Cases

  • Normalize each open issue into owner, status, risk, and due date for a consistent view.
  • Separate evidence gaps from true blockers and surface escalation items.
  • Produce outputs: close blocker summary, evidence/reconciliation gaps, owner action lists, and period escalations.
  • Use case: Controller or FP&A uses this to convert fragmented close notes into a single, actionable pack with owners and deadlines.

Quick Start

Provide the current list of open close issues and reconciliations, and the Skill will generate a consolidated control pack ready for action.

Frequently Asked Questions about codexkit-finance-close-coordinator

High-intent search queries and answers about installing and using this skill.

FAQPage Schema
How do I consolidate month-end close blockers and reconciliations into a single view?▼

Separate evidence gaps from true blockers by categorizing each open reconciliation issue, then surfacing only true escalation items alongside owner action lists and deadlines in a consolidated close summary.

How do I track evidence gaps separately from true blockers during finance close coordination?▼

Track evidence gaps by separating missing reconciliation support from actual close blockers, producing a dedicated evidence gap list alongside the blocker summary and period escalations.

What is the best way to assign owners and escalations for finance close issues?▼

Sequence owners and escalations by applying deterministic steps to open close issues, generating structured owner action lists and period escalations for controllers and FP&A teams.

Can I use this for FP&A close coordination or is it only for controllers?▼

You can use this for FP&A close coordination and controllers alike, as it supports any finance owner needing a decision-ready summary of blockers, owners, and due dates.

What do I need to provide to generate an action-ready close blocker summary?▼

Provide the current list of open close issues and reconciliations, and the skill will generate a consolidated control pack with blocker summaries, evidence gaps, and escalations ready for action.