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accounting
12 skills found
Closes the books and turns them into a decision as a three-link chain — month-end-prep reconciles the ledger against every connected payment processor and writes the P&L narrative, cash-flow-snapshot then refreshes the 30/60/90-day forecast off the newly closed numbers rather than raw ones, and report-builder publishes and distributes the close packet. Requires a ledger (MYOB, NetSuite, QuickBooks, Xero, or Zoho Books) and uses Gusto, PayPal, Ramp, Shopify, Square, and Stripe when connected, fal
Prepares tax materials as a two-link chain — month-end-prep confirms the books are closed and reconciled first, then tax-season-organizer calculates the quarterly estimated payment or builds the year-end 1099-NEC list and accountant packet from those closed numbers. Requires a ledger (MYOB, NetSuite, QuickBooks, Xero, or Zoho Books); uses Gusto, PayPal, and Stripe when connected, else CSV upload. US federal tax math; a non-US business gets the closed-books packet. Prep material for a CPA, never
Prepare journal entries with proper debits, credits, and supporting detail. Use when booking month-end accruals (AP, payroll, prepaid), recording depreciation or amortization, posting revenue recognition or deferred revenue adjustments, or documenting an entry for audit review.
Prepare journal entries with proper debits, credits, and supporting documentation for month-end close. Use when booking accruals, prepaid amortization, fixed asset depreciation, payroll entries, revenue recognition, or any manual journal entry.
Manage the month-end close process with task sequencing, dependencies, and status tracking. Use when planning the close calendar, tracking close progress, identifying blockers, or sequencing close activities by day.
Reconcile accounts by comparing GL balances to subledgers, bank statements, or third-party data. Use when performing bank reconciliations, GL-to-subledger recs, intercompany reconciliations, or identifying and categorizing reconciling items.
Automate expense tracking, receipt processing, approval workflows, and reimbursement management
Automate QuickBooks accounting workflows including invoicing, expenses, reporting, and bank reconciliation
Automate invoice generation, sending, tracking, and payment reconciliation across accounting platforms
freee-mcp / freee-sign-mcp と連携するスキル。会計・人事労務・請求書・工数管理・販売・サイン(電子契約)の詳細APIリファレンスと使い方ガイドを提供。freee の経費申請・取引登録・勤怠打刻・給与明細・見積書・試算表・仕訳・従業員管理・工数登録・売上管理・電子契約の文書管理などの操作やAPI仕様を調べたいときに使う。ユーザーが freee のデータ操作、会計処理、人事労務管理、請求・見積、プロジェクト工数管理、販売管理、電子契約について質問や操作を依頼してきた場合は、明示的に freee と言及していなくても、このスキルの利用を検討すること。サインは別途 freee-sign-mcp の設定が必要。
Generate financial statements (income statement, balance sheet, cash flow) with period-over-period comparison and variance analysis. Use when preparing a monthly or quarterly P&L, closing the books and need to flag material variances, comparing actuals to budget, building a financial summary for leadership review, or looking up GAAP presentation requirements and period-end adjustments.
Expert-level financial systems, FinTech, banking, payments, and financial technology
