Write an audit-ready journal entry in seconds

Describes a transaction (accrual, depreciation, revenue defer) and generates a balanced entry with correct account codes, debits/credits, and a footnote explaining the accrual basis logic.

Best for: Finance folks closing the books month-end or prepping entries for external audit.

Finance / bookkeeping-reconciliationatomicfor-opsno-setupfrom-text

Source

Creator's repository · anthropics/knowledge-work-plugins

View on GitHub

License: Apache-2.0