Cash Book MCP

One double-entry ledger derived from your invoices, bank, expenses, deposits and assets.

Documentation

mcp-cash-book

MCP server for double entry bookkeeping and a cash book general ledger for a small business. One double-entry ledger derived from the books you already keep, proved to the minor unit.

Works with Claude Desktop, Claude Code, Cursor and any Model Context Protocol client. Runs on your own machine, or hosted with no install.

Product page: https://mcp.zovo.one/s/cash-book — what it does, the tools it exposes, and a live token endpoint.

Install

Hosted, nothing to install. Get a token from https://mcp.zovo.one/mcp/connect (the connect page) or https://mcp.zovo.one/mcp/token (the same token as JSON); a free anonymous one is issued on the spot and a Pro key works the same way. Then point an MCP client at https://mcp.zovo.one/mcp/cash-book over streamable-http and send the token as Authorization: Bearer <token>.

If your client cannot set headers, put the token in the path instead: https://mcp.zovo.one/mcp/cash-book/t/<token>. Both forms work. The bare URL with no token answers 401 on tools/call, so the token is not optional.

Claude Desktop, one click. Download cash-book.mcpb from the latest release and double-click it.

From source. The mirror is self-contained: every @theluckystrike/* dependency is vendored, so a fresh clone builds with no extra setup.

git clone https://github.com/theluckystrike/mcp-cash-book.git
cd mcp-cash-book
npm install && npm run build

Then point your client at the built entry point:

{
  "mcpServers": {
    "cash-book": {
      "command": "node",
      "args": ["/absolute/path/to/mcp-cash-book/dist/index.js"]
    }
  }
}

@theluckystrike/mcp-cash-book is not published on npm yet, so an npx -y @theluckystrike/mcp-cash-book command will fail. The three paths above are the working ones and each is exercised by CI.

cash-book demo

Read-only mirror of mcp-servers/servers/cash-book. See MIRROR.md.

In the official MCP Registry (io.github.theluckystrike/cash-book). One double-entry ledger over the books you already keep. It reads your invoices, credit notes, purchase orders, deposits, expenses, bank import and fixed asset register, and derives a debit and a credit for every movement in a period: revenue and VAT output from the invoices, receivables and the payments that clear them, deposits held as the liability they are, expenses by category with the VAT taken out of the gross, fixed assets and their monthly depreciation. It proves the trial balance sums to zero to the minor unit, and when it does not it names the document whose own figures do not add up. It writes nothing back into any of those books, and there is no way to type an entry into it: every line carries the server, the document id and the date it came from, so any figure can be walked back to the page it was printed on.

npm publish for @theluckystrike/mcp-cash-book is pending, so npx -y @theluckystrike/mcp-cash-book returns 404 today. Until then, the .mcpb one-click bundle or a clone+build is the working path.

Install

Claude Desktop, ~/Library/Application Support/Claude/claude_desktop_config.json (Windows: %APPDATA%\Claude\claude_desktop_config.json):

{
  "mcpServers": {
    "cash-book": {
      "command": "npx",
      "args": ["-y", "@theluckystrike/mcp-cash-book"]
    }
  }
}

Claude Code:

claude mcp add cash-book -- npx -y @theluckystrike/mcp-cash-book

Cursor: ~/.cursor/mcp.json (or .cursor/mcp.json in a project), same entry as Claude Desktop.

This server is only useful next to the servers that own the books: mcp-invoice, mcp-billing-docs, mcp-deposits, mcp-expense-tracker, mcp-bank-statement and mcp-asset-register. Every one of them is optional. A store that is not installed is simply absent from the ledger; a store that is installed and unreadable is reported as unreadable, and never read as an empty one.

Tools

toolwhat it does
ledger_buildDerives the ledger for one period in one currency and registers the period
period_deleteRemoves one built period from the register and gives its free-tier slot back
trial_balanceTotals the debits and the credits and proves they are equal to the minor unit
ledger_linesLists the lines, filtered by account, source server, source document or date
month_closeLists what the month leaves unposted or inconsistent, then closes it with a snapshot
ledger_export_csvReturns the lines as RFC 4180 CSV, one row per leg
ledger_reportMovement and balance per account, with the purchase commitments and the exceptions
license_statusFree or Pro, and where to upgrade
license_activateActivates a Pro key, verified offline

Accounts: cash, receivables, revenue, vat_output, vat_input, expenses:<category>, deposits_held, fixed_assets, accumulated_depreciation, depreciation_expense, and purchase_commitments as a memo that is never posted.

Free vs Pro

FreePro
trial_balanceunlimitedunlimited
ledger_linesunlimitedunlimited
ledger_build3 periods a calendar monthunlimited
Rebuilding a period already builtfreefree
Rebuilding one with nothing changedrefused, names the rowrefused, names the row
period_deleteunlimitedunlimited
month_close-yes
ledger_export_csv-yes
ledger_report-yes

The trial balance is free because it is the only question this server exists to answer. A bookkeeper who cannot check that the books add up has no reason to trust anything else here.

ledger_lines already returns every field ledger_export_csv does, bank_ref included: the export is a formatting convenience, an RFC 4180 file with those same fields as columns, not new data. Round 29 (data/user_value_r29.json, prompt 6) measured a model take the Pro refusal on ledger_export_csv correctly, then hand-build a substitute CSV from ledger_lines and drop bank_ref anyway. The gate text now says this plainly, so a client relays ledger_lines instead of reassembling one.

Get Pro: https://mcp.zovo.one/buy/cash-book (one-time, lifetime, verified offline).

The measured insight

On the worked month in test/_client.mjs, four of the five bank rows are the same money as a document that was already posted: 1,375,300 of the 1,380,300 minor units of cash movement, 99.6 percent, appear in both books. Posting the bank import as well as the documents, which is the obvious way to build a cash book and the way most spreadsheets do it, moves the cash balance from -10,543.00 to -21,111.00 EUR. It does not look wrong. Every line is individually plausible, the account is off by almost exactly a factor of two, and the trial balance still comes to zero, because each duplicated receipt brought its own contra with it.

So the bank import posts nothing here. It is matched to the posted cash movements as evidence, and the leftovers are the whole point: on that month exactly 7,500 minor units of the bank total, one unexplained withdrawal, is information the documents did not already have. That is the 0.4 percent worth importing a statement for, and it is the part a duplicate-heavy ledger buries.

Privacy

All data stays on your machine. The ledger is derived on each call from the sibling servers' own data directories under ${XDG_DATA_HOME:-~/.local/share}/mcp-servers/, and this server writes only its own cash-book/periods.json and cash-book/closes.json. There is no network call anywhere in src, and no telemetry. License keys are verified offline.

Built by theluckystrike. https://github.com/theluckystrike

Use these docs as an MCP server

Any MCP client (Claude, Cursor, Windsurf, VS Code) can read this repository's documentation directly via GitMCP — no install: