Investor Relations & Fundraising

Distribution Notice Generator

Generates individual LP distribution notices with per-investor share calculations, tax characterization, waterfall tier explanation, and batch processing for 50-200+ investors.

distribution noticecapital distributiondistribution waterfall letter
Open GitHub source

No packaged download — skills install from the open-source plugin repo. Read the SKILL.md and bundled files below before you install.

How to install a skill →
01 · Problem

Generates individual LP distribution notices with per-investor share calculations, tax characterization, waterfall tier explanation, and batch processing for 50-200+ investors.

Derived from the skill’s “Skill description” section.

02 · Who & When

Explicit triggers: "distribution notice", "LP distribution", "investor notice", "distribution letter", "waterfall distribution", "preferred return distribution", "promote distribution", "return of capital distribution", "refi proceeds distribution", "sale proceeds distribution", "batch distribution", "distribution waterfall calculation", "pref accrual", "GP promote", "carried interest distribution", "K-1 preview", "capital account update"

Implicit triggers: user describes a closing or refinancing event and asks what each investor receives; user has a distribution pool amount and an LP table and needs to split it; user asks about remaining pref accrual before a promote is earned; user needs to send wires to 50+ investors after a sale; user asks how to document a partial return of capital

Do NOT activate for:

  • Equity raise or LP subscription processing (use capital-raise-machine)
  • Post-closing ALTA settlement statement (use funds-flow-calculator)
  • Ongoing quarterly financial reporting (use quarterly-reporting-package)
  • LP clawback calculation on final liquidation without a current distribution event

Derived from the skill’s “When to Activate” section.

03 · How It's Done Today

Not documented yet for this skill.

04 · What This Skill Changes

For each distribution event, produce:

  1. Batch summary table (Workflow 4) -- all LPs with dollar amounts and wire details
  2. Individual LP notices (Workflow 3) -- one per LP, personalized and signature-ready
  3. GP summary report (Workflow 6) -- waterfall reconciliation, GP economics, clawback check
  4. Wire schedule (Workflow 5) -- wire-ready table with verification status
  5. Tax characterization table (Workflow 2) -- per-LP, flagged for counsel review

Deliver in this order: batch summary first (for GP review), then individual notices (for issuance after GP sign-off), then wire schedule (for processing after notices sent).

Derived from the skill’s “Output Format” section.

05 · Risks & Caveats

Stale-data note: Waterfall structures and preferred return conventions reflect mid-2025 market norms for institutional CRE private equity. Tax characterization guidance (return of capital vs. ordinary income vs. capital gain) reflects IRC treatment under current law; consult fund tax counsel before issuing K-1 previews, as depreciation elections and cost segregation studies materially affect characterization. Wire cut-off times reflect Fedwire schedules as of 2025.

Derived from the skill’s “stale-data note” section.