Month End Prep

Quick start

Connect QuickBooks and at least one payment processor (PayPal, Square, or Stripe), then say "let's close the month." Claude walks you through each step of the checklist, pausing for your input at each gate before moving forward.

If a connector is missing, Claude falls back to asking for a CSV export — it won't silently skip a step.

Workflow

Work through these steps in order. Each step has a completion state; don't advance until the current step is settled.

Step 1 — Agree on the target month

Ask the user which month to close. Default to the prior calendar month if they don't specify. Confirm before pulling any data.

Step 2 — Pull QuickBooks P&L and transaction register

Fetch:

Flag immediately:

Present the count ("14 transactions need a category") and list them for the user to classify before proceeding. Don't advance with open uncategorized items unless the user explicitly says "skip for now."

See reference/quickbooks-reconcile.md for field mappings and API notes.

Step 3 — Pull payment processor settlements

Fetch settlement reports from PayPal, Square, or Stripe — whichever are connected — for the same calendar month.

Match each settlement deposit against the QuickBooks bank deposit line:

See reference/paypal-settlements.md for settlement report field mappings (PayPal, Square, Stripe).

Step 4 — Detect suspicious duplicates

Scan the transaction register for likely duplicate charges or deposits. Flag a transaction as a suspicious duplicate when all three match:

Present flagged pairs to the user. They decide whether each is legitimate (e.g., a recurring weekly subscription) or a real duplicate to void.

See reference/gotchas.md for common false-positive patterns and how to distinguish them.

Step 5 — Receipts check (Desktop connector)

If the Desktop connector is available, scan the receipts folder (ask the user for the path; default ~/Documents/Receipts) for the target month.

For each expense transaction in QuickBooks above $25 with no attached document:

List missing receipts. The user can supply the file or mark as "receipt not required" (e.g., a recurring auto-pay with no receipt).

If Desktop connector is not available, ask the user to confirm which expenses they have receipts for — don't silently skip this step.

Step 6 — Owner sign-off gate

Present a summary before going further:

Uncategorized transactions:  X of X resolved
Settlement discrepancies:    X flagged, X resolved
Suspicious duplicates:       X flagged, X cleared
Missing receipts:            X outstanding

Ask: "Ready to write the P&L summary and export the close packet?"

Do not proceed to Steps 7–8 without explicit confirmation.

Step 7 — Write the P&L narrative

Write a plain-English summary of the month — the kind an owner would share with their spouse or accountant, not a CFO memo. Aim for 150–250 words.

Structure:

  1. Headline — one sentence: "March came in at $X net, up/down Y% from February."
  2. Revenue — what drove the number; name products, services, or customers if the data shows concentration.
  3. Gross margin — whether it held, rose, or compressed, and the main reason why.
  4. Key expenses — any line that moved more than 10% MoM or is outside the normal range; one sentence each.
  5. Bottom line — net income vs. prior month; ask if they have a target to compare.
  6. Watch list — 1–3 things to monitor next month.

Avoid jargon; define anything that isn't plain English ("MoM" = month over month).

See reference/examples/pl-narrative.md for a worked example.

Step 8 — Export the close packet

Produce two files:

close-packet-[YYYY-MM].xlsx — three sheets:

close-packet-[YYYY-MM]-summary.pdf — one page:

Save both to the Desktop (or a path the user specifies). Confirm the file locations.

See reference/close-packet-format.md for column specs and PDF layout details.

Approval gates

Graceful degradation

Missing connector Fallback
QuickBooks Ask for a QB export CSV (P&L + transaction detail)
Payment processor Ask for a settlement CSV from the processor's website
Desktop (receipts) Ask the user to confirm receipt status for each flagged expense

Reference files