Eqvitta Accounting MCP Server
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- FlicenseAqualityDmaintenanceEnables natural language interaction with TallyPrime accounting software via Claude AI, allowing querying reports, creating vouchers, and managing ledgers without manual navigation.17-
- AlicenseNot gradedqualityBmaintenanceEnables LLMs like Claude and ChatGPT to access and interact with Tally Prime ERP data through MCP, including financial reports, ledgers, trial balance, balance sheet, profit and loss, and stock summary.AGPL 3.0
- FlicenseNot gradedqualityCmaintenanceAn MCP server that connects Claude to TallyPrime, allowing natural language queries for reading ledgers, trial balances, and daybooks, and creating vouchers with a dry-run and confirmation safety model.-
- FlicenseNot gradedqualityBmaintenanceConnects Claude to the Qoyod accounting system via its REST API, enabling natural language management of customers, invoices, vendors, journal entries, and other accounting resources through MCP tools.-
- AlicenseNot gradedqualityDmaintenanceConnects Tally Prime ERP data to AI assistants via MCP, enabling natural language queries for financial reports, stock summaries, and ledger balances.MIT
- AlicenseNot gradedqualityDmaintenanceThis MCP server enables AI assistants like Claude to perform Wave Accounting bookkeeping tasks—such as drafting invoices, managing customers, recording payments, and looking up financial data—through natural language commands.3MIT
TDQS
Scored across 22 tools
Each tool targets a distinct resource-action pair (search ledgers vs. search stocks vs. search invoices; get ledger balance vs. get ledger statement; create sales vs. purchase vs. service vs. logistic invoices). There is no overlapping purpose among the 22 tools, and descriptions clarify any potential confusion.
All tools follow a consistent verb_noun pattern in snake_case (search_*, get_*, create_*, list_companies, update_ledger_contact, query_gst_rate). The naming is uniform and predictable, making it easy for an agent to infer tool behavior from the name alone.
With 22 tools, the set is on the larger side but remains justified given the broad scope of accounting operations (ledgers, invoices, fixed assets, financial reports, GST lookup, inventory, challans, and company management). Each tool serves a distinct purpose, though the count exceeds the ideal 3-15 range, resulting in a slight deduction.
The tool surface covers core accounting workflows: search, get details, list, create (receipts, payments, invoices of various types), and report generation (trial balance, financial statements, fixed asset register). Minor gaps exist, such as no update/delete for invoices or payments, but these are not critical for typical accounting operations and can be worked around.