By bkuenzi
Streamline finance and accounting workflows, from journal entries and reconciliation to financial statements and variance analysis. Speed up audit prep, month-end close, and keeping your books clean.
Generate an income statement with period-over-period comparison and variance analysis
Prepare journal entries with proper debits, credits, and supporting detail
Reconcile GL balances to subledger, bank, or third-party balances
Generate SOX sample selections, testing workpapers, and control assessments
Decompose variances into drivers with narrative explanations and waterfall analysis
Support SOX 404 compliance with control testing methodology, sample selection, and documentation standards. Use when generating testing workpapers, selecting audit samples, classifying control deficiencies, or preparing for internal or external audits.
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.
Generate income statements, balance sheets, and cash flow statements with GAAP presentation and period-over-period comparison. Use when preparing financial statements, running flux analysis, or creating P&L reports with variance commentary.
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.
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.
External network access
Connects to servers outside your machine
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A finance and accounting plugin primarily designed for Cowork, Anthropic's agentic desktop application — though it also works in Claude Code. Supports month-end close, journal entry preparation, account reconciliation, financial statement generation, variance analysis, and SOX audit support.
Important: This plugin assists with finance and accounting workflows but does not provide financial, tax, or audit advice. All outputs should be reviewed by qualified financial professionals before use in financial reporting, regulatory filings, or audit documentation.
claude plugins add knowledge-work-plugins/finance
| Command | Description |
|---|---|
/journal-entry | Journal entry preparation — generate accruals, fixed asset entries, prepaids, payroll, and revenue entries with proper debits/credits and supporting detail |
/reconciliation | Account reconciliation — compare GL balances to subledger, bank, or third-party balances and identify reconciling items |
/income-statement | Income statement generation — produce P&L with period-over-period comparison and variance analysis |
/variance-analysis | Variance/flux analysis — decompose variances into drivers with narrative explanations and waterfall analysis |
/sox-testing | SOX compliance testing — generate sample selections, testing workpapers, and control assessments |
| Skill | Description |
|---|---|
journal-entry-prep | JE preparation best practices, standard accrual types, supporting documentation requirements, and review workflows |
reconciliation | Reconciliation methodology for GL-to-subledger, bank recs, and intercompany, with reconciling item categorization and aging |
financial-statements | Income statement, balance sheet, and cash flow statement formats with GAAP presentation and flux analysis methodology |
variance-analysis | Variance decomposition techniques (price/volume, rate/mix), materiality thresholds, narrative generation, and waterfall charts |
close-management | Month-end close checklist, task sequencing, dependencies, status tracking, and common close activities by day |
audit-support | SOX 404 control testing methodology, sample selection, documentation standards, and deficiency classification |
/journal-entry ap-accrual 2024-12 to generate AP accrual entries/journal-entry prepaid 2024-12 to amortize prepaid expenses/journal-entry fixed-assets 2024-12 to book depreciation/reconciliation cash 2024-12 to reconcile bank accounts/reconciliation accounts-receivable 2024-12 to reconcile AR subledger/income-statement monthly 2024-12 to generate the P&L with flux analysis/variance-analysis revenue 2024-Q4 vs 2024-Q3 to analyze revenue variances/variance-analysis opex 2024-12 vs budget to investigate operating expense variances/sox-testing revenue-recognition 2024-Q4 to generate revenue control testing workpapers/sox-testing procure-to-pay 2024-Q4 to test procurement controlsIf you see unfamiliar placeholders or need to check which tools are connected, see CONNECTORS.md.
This plugin works best when connected to your financial data sources via MCP servers. Add the relevant servers to your .mcp.json:
Connect your ERP (e.g., NetSuite, SAP) MCP server to pull trial balances, subledger data, and journal entries automatically.
Connect your data warehouse (e.g., Snowflake, BigQuery) MCP server to query financial data, run variance analysis, and pull historical comparisons.
Connect spreadsheet tools (e.g., Google Sheets, Excel) for workpaper generation, reconciliation templates, and financial model updates.
Connect your BI platform (e.g., Tableau, Looker) to pull dashboards, KPIs, and trend data for variance explanations.
Note: Connect your ERP and data warehouse MCP servers to pull financial data automatically. Without these, you can paste data or upload files for analysis.
Add your data source MCP servers to the mcpServers section of .mcp.json in this plugin directory. The recommendedCategories field lists the types of integrations that enhance this plugin's capabilities:
npx claudepluginhub bkuenzi/finance-pluginStreamline finance and accounting workflows, from journal entries and reconciliation to financial statements and variance analysis. Speed up audit prep, month-end close, and keeping your books clean.
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