pr-threshold
Track commit accumulation and trigger PR when thresholds crossed
problem-framing
Frame problems using JTBD Job Stories, HMW questions, and persona validation
qa-commit
Verify implementation against QA Contract (G#N, AC#N), auto-invoke debug on RED
qa-planning
Generate QA Contract with numbered Gherkin scenarios (G#N) and acceptance criteria (AC#N)
pr-review
Automated code review using ReadLints and Shell for technical validation
autonomous-loop
Iterate until success or limit, composing existing skills with Jidoka integration
bpmn-workflow
Generate and maintain BPMN 2.0 diagrams linked to Gherkin scenarios
code-review
Review code changes against hard rules and conventions
competitor-scan
Research best-in-class products using Browser MCP and WebSearch
compliance-audit
Audit Value Delivery compliance after PR push
debug
Systematic debugging with MCP integration, auto-invoke from qa-commit, Phase 7 Harden
decision-capture
Capture patine (decision wisdom) at Gates when KO or challenge occurs
dependency-mapping
Map slice dependencies using DSM matrix and prioritize by risk
design-context
Refresh UI/UX context from design system, Storybook, and codebase
gtm-alignment
Align phases with GTM strategy, persona tiers, and KPI targets
hotfix
Expedited workflow for urgent production issues
mcp-server
Guide for creating new MCP server integrations
notion-sync
Standardize Notion task updates across all modes
phasing
Group slices into risk-optimized phases with timeline generation
session-status
Generate breadcrumb headers/footers with takt time tracking and muda metrics
setup
One-time environment setup for new team members
skill-creator
Template and guide for creating new skills
slack-announce
Generate formatted Slack messages for team communication
state-machine
Document UI component states (current vs expected) with transitions
team-routing
Detect domain from context and find appropriate team member
tech-divergence
Evaluate technical options with scoring matrix, trigger Gate 4 for significant decisions
test-hardening
Convert passed QA Contract criteria to automated tests
webapp-testing
Test web app UI using Browser MCP and Storybook
ar-aging
Produce an accounts-receivable aging report and surface overdue invoices for a Well workspace. Use when the user asks who owes them money, an AR aging report, overdue invoices, days sales outstanding (DSO), or which customers to chase.
balance-sheet
Build a balance sheet (bilan) from a Well workspace. Use when the user asks for a balance sheet, bilan, assets/liabilities/equity, or financial position at a point in time.
cash-flow-forecast
Forecast cash flow and runway for a Well workspace from booked invoices and collected bank transactions. Use when the user asks for a cash-flow forecast, runway, how long until they run out of cash, projected balance, or expected inflows/outflows.
compte-de-resultat
Build a profit & loss statement (compte de résultat / income statement) from a Well workspace. Use when the user asks for a P&L, income statement, compte de résultat, revenue vs expenses, or net result over a period.
connect
Connect and verify the Well MCP — authenticate, confirm the tools work, and show what to ask. Use when the user runs /well:connect, just installed the Well plugin, or says the Well connection/MCP "isn't working" / "nothing happened".
month-end-close
Run a month-end (or period) close checklist against a Well workspace — verify everything is reconciled and posted before the books are closed. Use when the user asks to close the month/period, run a close checklist, check if the books are ready to close, or what's left before closing.
querying-well-data
How to query a Well workspace correctly — discover the schema first, then query the right root. Use whenever the user asks about their invoices, companies, contacts, bank transactions, accounts, or accounting ledger in Well, or before writing any well_query_records call.
reconciliation
Match bank transactions to invoices and surface unpaid / unmatched items in a Well workspace. Use when the user asks what's paid vs unpaid, to reconcile the bank, to find missing payments, or to match transactions to invoices.
vat-summary
Produce a VAT / sales-tax summary for a period from a Well workspace's posted ledger. Use when the user asks for a VAT return, VAT summary, sales tax owed, output vs input VAT, or tax declaration figures for a period.