journal-entry

Prepare lançamentos contábeis com débitos, créditos e detalhes de suporte adequados. Use ao registrar acréscimos de fim de mês (AP, folha de pagamento, pré-pagos), registrar depreciação…

npx skills add https://github.com/anthropics/knowledge-work-plugins --skill journal-entry

Journal Entry Preparation

If you see unfamiliar placeholders or need to check which tools are connected, see CONNECTORS.md.

Important: This command assists with journal entry workflows but does not provide financial advice. All entries should be reviewed by qualified financial professionals before posting.

Prepare journal entries with proper debits, credits, supporting detail, and review documentation.

Usage

/je <type> <period>

Arguments

  • type — The journal entry type. One of:
    • ap-accrual — Accounts payable accruals for goods/services received but not yet invoiced
    • fixed-assets — Depreciation and amortization entries for fixed assets and intangibles
    • prepaid — Amortization of prepaid expenses (insurance, software, rent, etc.)
    • payroll — Payroll accruals including salaries, benefits, taxes, and bonus accruals
    • revenue — Revenue recognition entries including deferred revenue adjustments
  • period — The accounting period (e.g., 2024-12, 2024-Q4, 2024)

Workflow

1. Gather Source Data

If ~~erp or ~~data warehouse is connected:

  • Pull the trial balance for the specified period
  • Pull subledger detail for the relevant accounts
  • Pull prior period entries of the same type for reference
  • Identify the current GL balances for affected accounts

If no data source is connected:

Connect ~~erp or ~~data warehouse to pull GL data automatically. You can also paste trial balance data or upload a spreadsheet.

Prompt the user to provide:

  • Trial balance or GL balances for affected accounts
  • Subledger detail or supporting schedules
  • Prior period entries for reference (optional)

2. Calculate the Entry

Based on the JE type:

AP Accrual:

  • Identify goods/services received but not invoiced by period end
  • Calculate accrual amounts from PO receipts, contracts, or estimates
  • Debit: Expense accounts (or asset accounts for capitalizable items)
  • Credit: Accrued liabilities

Fixed Assets:

  • Pull the fixed asset register or depreciation schedule
  • Calculate period depreciation by asset class and method (straight-line, declining balance, units of production)
  • Debit: Depreciation expense (by department/cost center)
  • Credit: Accumulated depreciation

Prepaid:

  • Pull the prepaid amortization schedule
  • Calculate the period amortization for each prepaid item
  • Debit: Expense accounts (by type — insurance, software, rent, etc.)
  • Credit: Prepaid expense accounts

Payroll:

  • Calculate accrued salaries for days worked but not yet paid
  • Calculate accrued benefits (health, retirement contributions, PTO)
  • Calculate employer payroll tax accruals
  • Calculate bonus accruals (if applicable, based on plan terms)
  • Debit: Salary expense, benefits expense, payroll tax expense
  • Credit: Accrued payroll, accrued benefits, accrued payroll taxes

Revenue:

  • Review contracts and performance obligations
  • Calculate revenue to recognize based on delivery/performance
  • Adjust deferred revenue balances
  • Debit: Deferred revenue (or accounts receivable)
  • Credit: Revenue accounts (by stream/category)

3. Generate the Journal Entry

Present the entry in standard format:

Journal Entry: [Type] — [Period]
Prepared by: [User]
Date: [Period end date]

| Line | Account Code | Account Name | Debit | Credit | Department | Memo |
|------|-------------|--------------|-------|--------|------------|------|
| 1    | XXXX        | [Name]       | X,XXX |        | [Dept]     | [Detail] |
| 2    | XXXX        | [Name]       |       | X,XXX  | [Dept]     | [Detail] |
|      |             | **Total**    | X,XXX | X,XXX  |            |      |

Supporting Detail:
- [Calculation basis and assumptions]
- [Reference to supporting schedule or documentation]

Reversal: [Yes/No — if yes, specify reversal date]

4. Review Checklist

Before finalizing, verify:

  • Debits equal credits
  • Correct accounting period
  • Account codes are valid and map to the right GL accounts
  • Amounts are calculated correctly with supporting detail
  • Memo/description is clear and specific enough for audit
  • Department/cost center coding is correct
  • Entry is consistent with prior period treatment
  • Reversal flag is set appropriately (accruals should auto-reverse)
  • Supporting documentation is referenced or attached
  • Entry is within the user's approval authority
  • No unusual or out-of-pattern amounts that need investigation

5. Output

Provide:

  1. The formatted journal entry
  2. Supporting calculations
  3. Comparison to prior period entry of the same type (if available)
  4. Any items flagged for review or follow-up
  5. Instructions for posting (manual entry or upload format for the user's ERP)

Mais skills de anthropic

analyzing-financial-statements
anthropic
Esta habilidade calcula os principais índices e métricas financeiras a partir de dados de demonstrações financeiras para análise de investimentos.
applying-brand-guidelines
anthropic
Esta habilidade aplica identidade visual corporativa consistente a todos os documentos gerados, incluindo cores, fontes, layouts e mensagens.
creating-financial-models
anthropic
Esta habilidade oferece um conjunto avançado de modelagem financeira com análise de fluxo de caixa descontado (DCF), testes de sensibilidade, simulações de Monte Carlo e planejamento de cenários para investimentos…
board-minutes
anthropic
Redige atas de reuniões de diretoria ou comitês no formato da sua empresa. Detecta automaticamente as próximas reuniões de diretoria e comitês do seu calendário, solicita a pauta e…
crm-cleanup
anthropic
Escaneia o HubSpot em busca de negócios obsoletos, contatos duplicados e campos ausentes, e corrige o que o proprietário aprovar. Aceita argumento opcional de escopo para negócios, contatos,…
redshift-api
anthropic
Executar SQL no Amazon Redshift — enviar instruções, consultar status, navegar pelos resultados e explorar bancos de dados/esquemas/tabelas. Use isso sempre que o usuário quiser…
ticket-deflector
anthropic
Lê um e-mail ou ticket de cliente encaminhado, obtém status de pedido/reembolso do PayPal e histórico de conta do HubSpot, redige uma resposta com tom adequado no proprietário…
reg-feed-watcher
anthropic
Verifique os feeds regulatórios agora e relate o que há de novo desde a última verificação, filtrado pelo seu limite de materialidade. Use quando o usuário disser "verifique os feeds",…