bankreconciliatie
by Nex AI
Automated bank reconciliation skill that matches CSV exports and identifies accounting exceptions.
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44 skills found
by Nex AI
Automated bank reconciliation skill that matches CSV exports and identifies accounting exceptions.
by Nex AI
Generate professional Belgian 2026 tax advisories, capital gains briefings, and SME fiscal planning checklists.
by Nex AI
Generate compliant, professional engagement letters and fee proposals for accounting firms and financial advisors.
by Nex AI
Automated VAT audit assistant for accountants to verify journals and detect filing errors before submission.
by Shandra
Creates preschool math activity packs for counting, number recognition, quantities, more/less, sorting, shapes, patterns, simple visual addition, math centers, worksheets, and marketplace-ready printables.
by Nex AI
Generate professional payroll cost simulation memos for clients, including RSZ, sector premiums, and tax alternatives.
by Nex AI
Professional Python-driven monthly liquidity forecasting and deficit signaling for accountants and SMEs.
by Dan Timms
A 5-question diagnostic interview that flags 3 commonly missed Schedule C deductions for the 2025 tax year.
by Nex AI
Convert complex notary dossier figures into clear, reconciled settlement statements for clients.
Check an invoice or estimate before you send it: missing document number, dates, or payment terms, totals that do not add up, tax gaps, missing remittance details, and slow terms with no late fee. Read-only, plain-English findings. Not accounting advice.
Generates bank-ready 3-year French financial forecasts in Excel with dynamic formulas and local tax logic.
by MDUBAOS
Quantify manufacturing margin leaks, cash cycle drift, and break-even shifts with numeric precision.
Enforce three-way IOLTA reconciliation and detect regulatory defects to prevent bar discipline.
by Julian GM
Formal check of German VAT invoice requirements (§ 14 UStG) and input-tax readiness (§ 15) — not tax advice.
by Sir Benjamin
Automated receipt discovery, structured data extraction, and monthly organization with audit-ready ledgers.
Automated receipt discovery, structured archiving, and finance forwarding for email-based business expenses.
Tie normalized marketplace orders, fees, refunds, reserves, settlement lines, and bank deposits to an explicit payout-period ledger.
Classify launch, outreach, checkout, payment, usage, and review-time evidence without counting views, deployments, sent messages, or owner tests as demand.
by Jose Luis
Automate expense receipt classification, VAT verification, and forwarding via MCP.
by Jose Luis
Extract, group, and analyze bank fees and financial identifiers from account statements via MCP.