From norman-finance
Guides complete monthly financial reconciliation: reviews/categorizes/verifies transactions, reconciles invoices, checks documents, prepares taxes. For month-end bookkeeping.
How this skill is triggered — by the user, by Claude, or both
Slash command
/norman-finance:monthly-reconciliation [month, e.g. January 2026][month, e.g. January 2026]The summary Claude sees in its skill listing — used to decide when to auto-load this skill
Guide the user through a complete monthly reconciliation:
Guide the user through a complete monthly reconciliation:
search_transactions for the specified month (or last month if not specified)categorize_transaction to assign the correct bookkeeping categorychange_transaction_verificationlist_invoices to find invoices from the periodlink_transaction to match payments to invoicessend_invoice_overdue_reminderlist_attachments for the periodupload_bulk_attachmentslink_attachment_transaction to connect any newly uploaded receiptsget_company_tax_statistics for the period overviewget_vat_next_report to check if a VAT report is duegenerate_finanzamt_preview to show the draftsubmit_tax_reportPresent a closing summary:
Be thorough but keep each step interactive - wait for user confirmation before proceeding.
npx claudepluginhub norman-finance/norman-mcp-server --plugin norman-financeRuns month-end bookkeeping close checklist: pulls transactions via search, detects uncategorized items and anomalies, auto-categorizes, generates spending summaries, reconciles against bank statements.
Guides Fondo monthly bookkeeping close: answer CPA categorization questions, review financial statements (P&L, balance sheet, cash flow), and handle errors for month-end reporting.
Categorizes uncategorized bank transactions, matches payments to invoices, verifies bookkeeping entries for freelance or SME accounts via Norman Finance APIs. Use for reconciling accounts or expense categorization.