opção
Lar Lista de Prompts de IA Treinamento Mental Exercício de Priorização de Demandas para PM

Exercício de Priorização de Demandas para PM

{:__('collect %s',Exercício de Priorização de Demandas para PM)}

Simula cenários onde gerentes de produto lidam com múltiplas demandas, fornece um caso de negócio e treina o pensamento lógico para decisões de produto.

Conteúdo do prompt Copiar Copiar

In a simulated scenario of the ToB department of an Internet SaaS startup, there are four pending demands this quarter: a top paying client requires a custom exclusive function, existing clients generally request product usability optimization, a lightweight version of core functions for new customer groups needs to be launched, and an occasional bug in the client data export module needs to be fixed. You need to sort out the user value, business revenue, development resource input and urgency of each demand step by step, finally give a reasonable priority ranking and explain the judgment logic to exercise product decision-making thinking.

Copiar Copiar

Em um cenário simulado do departamento ToB de uma startup SaaS de Internet, há quatro demandas pendentes neste trimestre: um cliente pagante de topo pede uma função exclusiva personalizada, clientes existentes geralmente solicitam otimização da usabilidade do produto, uma versão leve das funções principais para novos grupos de clientes precisa ser lançada, e um bug ocasional no módulo de exportação de dados de clientes precisa ser corrigido. Você precisa organizar passo a passo o valor para o usuário, o retorno comercial, o investimento de recursos de desenvolvimento e a urgência de cada demanda, finalmente fornecer uma classificação de prioridade razoável e explicar a lógica de julgamento para exercitar o pensamento de tomada de decisão de produto.

Copiar Copiar
Comentários (0)
0/300

Recomendação

Alerta de Risco Financeiro
Act as a financial analyst to review the company's cash flow, accounts receivable turnover, and debt-to-equity ratios from the past twelve months, identify any metrics deviating more than ten percent from industry benchmarks, and analyze the potential operational factors causing these discrepancies, ultimately producing a concise report with risk level assessments, key driving factors, and specific mitigation recommendations, ensuring the language is objective and actionable.
Detecção de anomalias financeiras
Act as a senior financial audit expert to deeply analyze the provided monthly financial transaction dataset, focusing on identifying potential risk points such as abnormal amounts, irregular timing patterns, or duplicate payments, and output a structured report containing specific transaction IDs, risk levels, and brief explanations, ensuring all conclusions are data-supported and comply with audit standards.
Alerta de Risco Financeiro
Act as a senior financial analyst to conduct a deep review of the provided quarterly financial statements and recent large-volume transaction logs, focusing on identifying potential cash flow breakage risks, abnormal related-party transactions, and compliance loopholes, and output a structured report containing specific risk level assessments, key indicator deviation analysis, and targeted rectification suggestions, ensuring all conclusions are data-supported and logically rigorous.
Alerta de Risco Financeiro
Please analyze the company's bank statements and invoice records from the past twelve months to identify transactions with abnormal amounts, sudden frequency changes, or suspicious counterparties. Combine this with the current cash flow status to generate a concise risk assessment report, and provide specific compliance review suggestions and fund allocation plans for the identified high-risk items to ensure financial security.
Detetor de anomalias financeiras
Act as a corporate financial auditor to review the provided monthly bank statement data. First, identify transfer records with single amounts exceeding three times the standard deviation of the past twelve months' average expenditure or those with significantly abnormal frequency. Second, assess whether these anomalies represent reasonable business fluctuations or potential internal fraud risks by considering current seasonality and industry norms. Finally, compile the identified high-risk items into a concise audit summary, clearly stating the anomalous amounts, involved accounts, and suggested verification steps, ensuring the report meets internal compliance standards with objective and rigorous language.
Alerta de Risco Financeiro
Act as a financial analyst to review the company's cash flow, accounts receivable turnover, and debt-to-equity ratios for the past twelve months, identify any metrics deviating more than two standard deviations from industry benchmarks, analyze the potential liquidity crises or solvency risks arising from these discrepancies, and finally output a concise financial health assessment report containing key risk points, potential impact scope, and preliminary response suggestions.
OR