Finance AI Guides for Claude

268 free practitioner guides — the method, the formulas, the prompts. Written by finance professionals, not marketers.

Each guide covers a specific finance workflow: what the calculation requires, where AI helps, and what prompts actually produce usable output. Topics span valuation and M&A, fixed income and derivatives, risk management, tax and transfer pricing, insurance and actuarial, accounting and reporting, and compliance and RegTech.

These are not introductions to AI. They are practitioner references for finance professionals who already use Claude and want repeatable, accurate results on specific tasks — from IFRS 17 CSM roll-forwards to DCF modeling, AML transaction monitoring to SA-CCR exposure calculations.

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Valuation & M&A

DCF, LBO, comparables, synergies and deal analysis 31 guides

Fixed Income

Bonds, curves, duration, credit spreads and structured products 29 guides
AI for CLO Managers: CLO Analysis, Tranche Waterfalls, OC/IC Tests, an AI for Interest Rate Risk: Hedging Strategies and Duration Analysis wi Bond Duration & Convexity — Macaulay, Modified, Key Rate Bond Portfolio Immunization and Cash Flow Matching: Classical, Conting Bond Portfolio Management AI Bond Pricing and OAS: Z-Spread, Option-Adjusted Spread, and Callable B Claude AI for Cat Bonds and Insurance-Linked Securities: ILS Analysis, Convertible Bond Analysis: Equity Component, Bond Floor, Delta, and Co Credit Default Swap Analysis: CDS Pricing, Par Spread, CDS-Bond Basis, Credit VaR for Bond Portfolios — Spread VaR & Default Risk Emerging Market Debt Analysis: Hard Currency vs Local Currency, Countr Fixed Income Analysis Fixed Income Attribution Analysis: Return Attribution, Campisi Framewo Fixed Income Credit Spread Analysis: Z-Spread, OAS, Spread Duration, a Fixed Income Factor Models: Level, Slope, Curvature, Credit Spread, an Fixed Income Liquidity Risk: Bid-Ask Spreads, Market Depth, and Liquid Fixed Income Portfolio Optimization: Duration Targeting, Tracking Erro Fixed Income Relative Value Analysis: Rich/Cheap, Asset Swaps, Sector Fixed Income VaR — Bond Portfolio Value at Risk Global Fixed Income Portfolio Management: Hedged vs Unhedged Returns, Green Bonds & Sustainable Fixed Income — AI Analysis Guide High Yield Bond Analysis: Credit Metrics, Covenant Analysis, Distresse Key Rate Duration — Claude Prompts for Yield Curve Risk Mortgage-Backed Securities Analysis: Prepayment Modeling, OAS, WAL, an Municipal Bond Analysis: Tax-Equivalent Yield, GO vs Revenue Bonds, Cr Municipal Finance AI TIPS and Inflation-Linked Bonds: Breakeven Inflation, Real Yields, and Yield Curve Analysis: Spot Rates, Forward Rates, Butterfly Trades, and Yield Curve Strategies for Fixed Income: Bullet, Barbell, Ladder, Stee

Risk & Quant

VaR, stress testing, derivatives, factor models and market risk 26 guides

Credit & Lending

Underwriting, covenants, ratings and private credit 24 guides

Accounting & Reporting

IFRS, US GAAP, close, revenue recognition and audit 31 guides

FP&A & Corporate Finance

Forecasting, budgeting, treasury and CFO workflows 16 guides

Compliance & Governance

AML, model risk, EU AI Act, DORA and AI security 30 guides

Equity & Markets Research

Filings, earnings, equity research and commodities 6 guides

Insurance & Actuarial

Reserving, pricing, IFRS 17 and capital 12 guides

Asset & Wealth Management

Portfolios, funds, PE, hedge funds and family offices 14 guides

Sector & Specialist

Real estate, energy, healthcare, crypto and infrastructure 21 guides

Getting Started & AI Practice

Setup, prompting, tool selection and best practice 11 guides

Finance Career & Exam Prep

IB and PE interview prep, modeling tests, CFA exam, and career tools 13 guides
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