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From finance
Prepare journal entries with proper debits, credits, and supporting detail. Use when booking month-end accruals (AP, payroll, prepaid), recording depreciation or amortization, posting revenue recognition or deferred revenue adjustments, or documenting an entry for audit review.
npx claudepluginhub sun2443/designer-skills --plugin financeHow this skill is triggered — by the user, by Claude, or both
Slash command
/finance:journal-entry <entry type> [period]<entry type> [period]The summary Claude sees in its skill listing — used to decide when to auto-load this skill
> If you see unfamiliar placeholders or need to check which tools are connected, see [CONNECTORS.md](../../CONNECTORS.md).
Mandates invoking relevant skills via tools before any response in coding sessions. Covers access, priorities, and adaptations for Claude Code, Copilot CLI, Gemini CLI.
Share bugs, ideas, or general feedback.
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.
/je <type> <period>
type — The journal entry type. One of:
ap-accrual — Accounts payable accruals for goods/services received but not yet invoicedfixed-assets — Depreciation and amortization entries for fixed assets and intangiblesprepaid — Amortization of prepaid expenses (insurance, software, rent, etc.)payroll — Payroll accruals including salaries, benefits, taxes, and bonus accrualsrevenue — Revenue recognition entries including deferred revenue adjustmentsperiod — The accounting period (e.g., 2024-12, 2024-Q4, 2024)If ~~erp or ~~data warehouse is connected:
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:
Based on the JE type:
AP Accrual:
Fixed Assets:
Prepaid:
Payroll:
Revenue:
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]
Before finalizing, verify:
Provide: