crypto-transactions-mcp
crypto-transactions-mcp
MCP-сервер для отслеживания транзакций и ордеров, исполненных на крипторынке.
Предоставляет MCP-инструменты, позволяющие LLM-агенту (Claude, agy и т.д.)
регистрировать сделки, свопы и переводы с точностью Decimal, а также
запрашивать историю — с взаимозаменяемым хранением в локальном JSON-файле
или в базе данных Notion.
Быстрый старт
uv syncдля установки зависимостей.Выберите бэкенд:
JSON (по умолчанию, без настройки) — переходите к пункту 3.
Notion — сначала следуйте разделу "Настройка Notion с нуля" ниже.
Добавьте сервер в конфигурацию вашего MCP-хоста: см. "Настройка Claude Desktop" или "Настройка agy".
Перезапустите хост и попробуйте, например: "Я купил 0.1 BTC на Binance по 65000 USDT, комиссия 0.0001 BTC, зарегистрируй это с помощью log_transaction."
Луковая архитектура:
domain/— сущностьCryptoTransaction(Pydantic v2, денежные поля вDecimal).side— этоBUY/SELL(сделка, включая своп крипто/крипто) илиTRANSFER(перемещение одного и того же актива между двумя хранилищами); эти два случая имеют разные требования, проверяемые в самой модели (BUY/SELL требуютprice/value, TRANSFER требуетto_exchange)interfaces/— портTransactionRepositoryиTransactionFiltersusecases/—LogTransactionUseCase(сделка, upsert с частичным слиянием),LogTransferUseCase(перевод, та же семантика upsert),GetTransactionHistoryUseCaseinfrastructure/— конкретные адаптеры портаTransactionRepository:JsonTransactionRepository, локальный JSON-файл, фиксированный путьdata/crypto_transactions.jsonNotionTransactionRepository, база данных Notion (см. ниже)
delivery/— серверFastMCP, MCP-инструменты (log_transaction,log_transfer,get_transaction_history), связывание зависимостей вfactories.py
Related MCP server: Expense Tracker MCP Server
MCP-инструменты
log_transaction— сделка BUY/SELL, включая своп между двумя криптовалютами (например, ETH/BTC): та же форма, что и обычная сделка, отдельный инструмент не нужен. Поддерживает необязательныеfiat_value/fiat_currencyдля фиксации фиатного эквивалента на момент обмена — настоятельно рекомендуется для свопов крипто/крипто, где толькоprice(относительный курс между двумя криптовалютами) не позволяет впоследствии рассчитать реализованную прибыль/убыток (P&L) ни фиатную себестоимость (cost-basis) полученного нового актива.log_transfer— перемещение одного и того же актива между двумя хранилищами (exchange→to_exchange), не сделка: нетside/price, но требуетсяto_exchange.get_transaction_history— история обоих типов, с необязательными фильтрами (symbol,exchange,sideвключая"TRANSFER",date_from/date_to), отсортировано по дате по убыванию (сначала самые новые) и с пагинацией (limitпо умолчанию 50,offset); ответ:{"transactions": [...], "has_more": bool}.get_portfolio_summary— для каждого актива (кроме самогоvs_currency): сколько у вас его, сколько вы инвестировали всего и в среднем на единицу (cost-basis), рыночная стоимость, нереализованная прибыль/убыток. Необязательныйas_of_dateдля ситуации на прошедшую дату (историческая цена) вместо текущей — предназначен для налоговой отчетности.cost_basis_method(weighted_averageилиfifo) — это явный выбор, не автоматический: они могут давать разную прибыль на одной и той же истории, уточните, какой вам нужен, у бухгалтера.get_asset_price— котировка одного актива, текущая или историческая на дату, без расчета всего портфеля.
Настройка
uv syncСкопируйте .env.example в .env и заполните его: он автоматически загружается
при запуске (main.py вызывает load_dotenv()). Это работает и когда сервер
запускается из внешнего хоста (Claude Desktop, agy, ...) с помощью
uv run --directory <path> main.py, потому что --directory устанавливает
рабочую директорию процесса на корень проекта, где load_dotenv() ищет .env
по умолчанию — не нужно дублировать секреты в JSON-конфиге хоста, который
часто менее защищен, чем локальный .env в gitignore.
Бэкенд хранения
Выбирается с помощью переменной окружения TRANSACTION_REPOSITORY_BACKEND:
json(по умолчанию) — дополнительная настройка не требуется.notion— требуетNOTION_TOKEN(токен интеграции Notion) иNOTION_DATABASE_ID.
Настройка Notion с нуля
Если у вас ещё нет интеграции Notion, связанной с этим проектом, выполните следующие шаги по порядку (требуется аккаунт Notion с правами на создание интеграций в рабочем пространстве):
Создайте интеграцию — перейдите на notion.so/my-integrations → "+ New integration" → дайте имя (например, "Crypto Transactions MCP") → выберите рабочее пространство → тип "Internal".
Включите возможности — на странице настройки интеграции, в разделе "Capabilities", включите: Read content, Update content, Insert content.
Скопируйте токен — вкладка "Secrets" → скопируйте значение "Internal Integration Secret" (начинается с
secret_илиntn_). Это вашNOTION_TOKEN.Создайте базу данных — в Notion создайте новую базу данных (full-page или inline) и настройте её с точно такими свойствами, как перечислено в таблице ниже. Столбец "title", который Notion создаёт по умолчанию (обычно "Name"), нужно переименовать в
Transaction ID: в каждой базе данных Notion он обязательно есть, это не имя базы данных, а столбец, идентифицирующий каждую строку.Поделитесь базой данных с интеграцией — откройте страницу базы данных → меню "..." в правом верхнем углу → "Connections" → найдите и подключите интеграцию, созданную в пункте 1. Без этого шага API отвечает 404 даже с действительным токеном, потому что разрешения Notion действуют на страницу, а не на всё рабочее пространство.
Найдите ID базы данных — он в URL страницы базы данных:
https://www.notion.so/<ID-без-дефисов>?v=.... Например, изhttps://www.notion.so/abcdef0123456789abcdef0123456789?v=...ID —abcdef0123456789abcdef0123456789. Это вашNOTION_DATABASE_ID.Настройте переменные — в вашем
.env(см. выше) или в блокеenvMCP-хоста:
TRANSACTION_REPOSITORY_BACKEND=notion
NOTION_TOKEN=<il secret del punto 3>
NOTION_DATABASE_ID=<l'id del punto 6>База данных Notion должна иметь следующие свойства (точное имя и тип):
Свойство | Тип |
| title |
| rich_text |
| select |
| select |
| select |
| select ( |
| date (с временем, UTC) |
| number |
| number |
| number |
| number |
| select |
| number |
| select |
| rich_text |
To Exchange, Price, Value, Fiat Value, Fiat Currency могут быть
пустыми (не применяются к TRANSFER или являются необязательными для сделки).
Примечание: числовые поля в Notion — это нативные number (float64), а не
точные Decimal, как в JSON-бэкенде — достаточно для реальных торговых сумм,
но подвержено ограничениям точности числа с плавающей запятой двойной точности.
Тесты
uv run pytestРучной запуск
uv run main.pyНастройка Claude Desktop
Добавьте в файл claude_desktop_config.json (на macOS:
~/Library/Application Support/Claude/claude_desktop_config.json). Если .env
уже настроен в корне проекта (см. выше), достаточно этого, никаких секретов в
JSON:
{
"mcpServers": {
"crypto-transactions": {
"command": "uv",
"args": [
"run",
"--directory",
"/path/to/crypto-transactions-mcp",
"main.py"
]
}
}
}В качестве альтернативы, если вы предпочитаете не использовать файл .env, вы
можете передать переменные непосредственно в блок env (они переопределяют
переменные из .env, если присутствуют оба):
{
"mcpServers": {
"crypto-transactions": {
"command": "uv",
"args": [
"run",
"--directory",
"/path/to/crypto-transactions-mcp",
"main.py"
],
"env": {
"TRANSACTION_REPOSITORY_BACKEND": "notion",
"NOTION_TOKEN": "secret_...",
"NOTION_DATABASE_ID": "abcdef0123456789abcdef0123456789"
}
}
}
}Настройка agy
Та же схема mcpServers, но в файле .agents/mcp_config.json в корне проекта,
где вы используете agy (добавьте запись crypto-transactions рядом с уже
существующими серверами, не удаляя их). То же самое: при настроенном .env
блок env не нужен:
{
"mcpServers": {
"crypto-transactions": {
"command": "uv",
"args": [
"run",
"--directory",
"/path/to/crypto-transactions-mcp",
"main.py"
]
}
}
}Available Tools
3 toolsget_transaction_historyA
Restituisce lo storico delle transazioni salvate (trade e transfer), filtrato opzionalmente per symbol, exchange, side (usa "TRANSFER" per i soli transfer) e/o intervallo di date (date_from/date_to, inclusivi, in UTC).
| Name | Required | Description | Default |
|---|---|---|---|
| side | No | ||
| symbol | No | ||
| date_to | No | ||
| exchange | No | ||
| date_from | No |
Output Schema
| Name | Required | Description |
|---|---|---|
| result | Yes |
TDQS
Does the description disclose side effects, auth requirements, rate limits, or destructive behavior?
No annotations are provided, so the description carries the full burden. It states the action is read-only ('Restituisce') and specifies that date filters are inclusive and in UTC. However, it does not disclose other behavioral traits such as response format, pagination, or any side effects. The description is minimally adequate.
Agents need to know what a tool does to the world before calling it. Descriptions should go beyond structured annotations to explain consequences.
Is the description appropriately sized, front-loaded, and free of redundancy?
The description is a single sentence that is front-loaded with the main action and then details parameters. It is concise but could be restructured for easier scanning (e.g., bullet points). However, it contains no unnecessary words and effectively communicates the tool's purpose and filters.
Shorter descriptions cost fewer tokens and are easier for agents to parse. Every sentence should earn its place.
Given the tool's complexity, does the description cover enough for an agent to succeed on first attempt?
An output schema exists (assumed but not shown), so explanation of return values is not required. The description covers filtering options and date inclusivity/UTC zone. However, it lacks information on default behavior (e.g., returns all history if no filters), pagination, or response limits. For a history retrieval tool, this is acceptable but not fully complete.
Complex tools with many parameters or behaviors need more documentation. Simple tools need less. This dimension scales expectations accordingly.
Does the description clarify parameter syntax, constraints, interactions, or defaults beyond what the schema provides?
Schema description coverage is 0%, but the description adds meaningful context: it explains the side parameter can use 'TRANSFER' to filter only transfers, and notes that date filters are inclusive and in UTC. This adds semantic value beyond the schema's property names and types. It could further describe parameter formats or constraints.
Input schemas describe structure but not intent. Descriptions should explain non-obvious parameter relationships and valid value ranges.
Does the description clearly state what the tool does and how it differs from similar tools?
The description clearly states it returns saved transaction history (trades and transfers) with optional filtering. The verb 'Restituisce' and resource 'storico delle transazioni' are specific. Sibling tools (log_transaction, log_transfer) are for creation, so the read purpose is distinguishable, though not explicitly contrasted.
Agents choose between tools based on descriptions. A clear purpose with a specific verb and resource helps agents select the right tool.
Does the description explain when to use this tool, when not to, or what alternatives exist?
Implied usage: use when you need to retrieve transaction history. The description lists available filters but does not provide explicit guidance on when to use this tool versus siblings or when not to use it. No alternatives or exclusions are mentioned.
Agents often have multiple tools that could apply. Explicit usage guidance like "use X instead of Y when Z" prevents misuse.
log_transactionA
Registra un trade (BUY/SELL, incluso uno swap tra due crypto), upsert per id.
Trade normale (es. BTC/USDT): symbol è la coppia BASE/QUOTE,
side=BUY se acquisti il base, side=SELL se lo cedi; price è il
prezzo unitario del base in quote.
Swap crypto/crypto (es. scambio ETH -> BTC su un DEX o un exchange):
si usa questo stesso tool, non ce n'è uno dedicato. Metti come base
l'asset ceduto e come quote quello ricevuto, es. symbol="ETH/BTC",
side="SELL", amount=1 (ETH ceduti), price=0.05 (BTC ricevuti per
ETH). Attenzione: in questo caso price ti dice solo il cambio tra
le due crypto, non il loro controvalore in una valuta fiat — senza
quel dato non potrai più calcolare a posteriori né il P&L realizzato
sull'asset ceduto né il cost-basis fiat del nuovo asset ricevuto.
Per questo, quando disponibile, valorizza sempre fiat_value (il
controvalore totale dello scambio, es. in EUR al momento
dell'esecuzione) e fiat_currency: è fortemente consigliato per gli
swap crypto/crypto, utile anche per i trade con quote fiat/stablecoin.
Se `id` è omesso viene generata una nuova transazione con un id
generato automaticamente. Se `id` corrisponde a una transazione già
salvata, solo i campi passati vengono aggiornati (merge parziale);
`value` viene ricalcolato come amount * price se non fornito
esplicitamente e uno tra amount/price cambia. Per una nuova
transazione sono richiesti tutti i campi obbligatori dello schema
(exchange, symbol, side, timestamp, amount, price, fee_amount,
fee_asset). `tx_hash` è opzionale, usalo per l'hash on-chain quando
disponibile (tipico per gli swap su DEX).
Per spostare lo stesso asset tra due exchange/wallet, senza
scambiarlo con un altro asset, usa invece il tool log_transfer.
| Name | Required | Description | Default |
|---|---|---|---|
| id | No | ||
| side | No | ||
| notes | No | ||
| price | No | ||
| value | No | ||
| amount | No | ||
| symbol | No | ||
| tx_hash | No | ||
| exchange | No | ||
| fee_asset | No | ||
| timestamp | No | ||
| fee_amount | No | ||
| fiat_value | No | ||
| fiat_currency | No |
TDQS
Does the description disclose side effects, auth requirements, rate limits, or destructive behavior?
Discloses key behavioral traits: upsert behavior (merge partial update when id matches), auto-generation of id for new transactions, recalculation of value based on amount*price, required fields for new transactions, and the optional use of tx_hash. No annotations are provided, so the description fully compensates.
Agents need to know what a tool does to the world before calling it. Descriptions should go beyond structured annotations to explain consequences.
Is the description appropriately sized, front-loaded, and free of redundancy?
The description is relatively long but well-structured with paragraphs separating normal trades, swaps, upsert behavior, and required fields. It is front-loaded with the main purpose. However, some content could be condensed, making it less concise than optimal.
Shorter descriptions cost fewer tokens and are easier for agents to parse. Every sentence should earn its place.
Given the tool's complexity, does the description cover enough for an agent to succeed on first attempt?
Given the complexity (14 parameters, upsert behavior, swap handling) and the absence of an output schema, the description covers most behavioral aspects thoroughly. It mentions sibling tools for disambiguation. It does not explain the return value of the tool, which is a minor gap.
Complex tools with many parameters or behaviors need more documentation. Simple tools need less. This dimension scales expectations accordingly.
Does the description clarify parameter syntax, constraints, interactions, or defaults beyond what the schema provides?
With 0% schema description coverage, the description explains the meanings of several key parameters (side, symbol, price, amount, fiat_value, fiat_currency, id, tx_hash, value). It does not explicitly cover all 14 parameters (e.g., notes, timestamp, exchange, fee_amount, fee_asset are mentioned as required but not detailed). The coverage is extensive enough to guide an agent, though not exhaustive.
Input schemas describe structure but not intent. Descriptions should explain non-obvious parameter relationships and valid value ranges.
Does the description clearly state what the tool does and how it differs from similar tools?
The description clearly defines the tool as recording a trade (BUY/SELL, including swaps) and differentiates it from the sibling log_transfer tool, specifying which tool to use for asset transfers without exchange. The verb 'Registra' and the resource 'trade' are specific and unambiguous.
Agents choose between tools based on descriptions. A clear purpose with a specific verb and resource helps agents select the right tool.
Does the description explain when to use this tool, when not to, or what alternatives exist?
Provides explicit guidance on when to use this tool vs the sibling log_transfer: 'Per spostare lo stesso asset tra due exchange/wallet, senza scambiarlo con un altro asset, usa invece il tool log_transfer.' Also explains how to handle crypto/crypto swaps, including the recommendation to provide fiat_value and fiat_currency for better P&L calculation.
Agents often have multiple tools that could apply. Explicit usage guidance like "use X instead of Y when Z" prevents misuse.
log_transferA
Registra il movimento dello stesso asset tra due custodie (exchange o wallet), upsert per id. Non è un trade: non c'è side né un prezzo di scambio, quindi non usare questo tool per uno swap tra due asset diversi (per quello usa log_transaction).
`exchange` è l'origine, `to_exchange` la destinazione. `symbol` è
il solo asset spostato (es. "BTC"), non una coppia. `fee_amount`/
`fee_asset` rappresentano la fee di rete del trasferimento, non una
commissione di trading. `tx_hash` è fortemente consigliato quando
disponibile (tipico per i prelievi/depositi on-chain). `fiat_value`/
`fiat_currency` sono opzionali, per tracciare il controvalore fiat
dell'importo spostato al momento del trasferimento.
Se `id` è omesso viene generato automaticamente. Se `id`
corrisponde a un transfer già salvato, solo i campi passati vengono
aggiornati (merge parziale). Per un nuovo transfer sono richiesti
exchange, to_exchange, symbol, timestamp, amount, fee_amount,
fee_asset.
| Name | Required | Description | Default |
|---|---|---|---|
| id | No | ||
| notes | No | ||
| amount | No | ||
| symbol | No | ||
| tx_hash | No | ||
| exchange | No | ||
| fee_asset | No | ||
| timestamp | No | ||
| fee_amount | No | ||
| fiat_value | No | ||
| to_exchange | No | ||
| fiat_currency | No |
TDQS
Does the description disclose side effects, auth requirements, rate limits, or destructive behavior?
With no annotations, the description carries full burden. It explains upsert behavior (auto-generated ID, partial merge for existing records), required fields for new transfers, and the nature of fees (network fee, not trading commission). However, it does not explicitly address side effects like idempotency or potential data loss, slightly reducing completeness.
Agents need to know what a tool does to the world before calling it. Descriptions should go beyond structured annotations to explain consequences.
Is the description appropriately sized, front-loaded, and free of redundancy?
The description is front-loaded with the core purpose and distinction, followed by parameter details and behavior. It is slightly verbose but every part adds value. No redundant sentences, but could be tightened slightly.
Shorter descriptions cost fewer tokens and are easier for agents to parse. Every sentence should earn its place.
Given the tool's complexity, does the description cover enough for an agent to succeed on first attempt?
Given 12 parameters, upsert behavior, and no output schema, the description covers most essential aspects: both usage scenarios, parameter meanings, create vs. update behavior, and required fields. It doesn't describe the return value, but that's minor. Overall, it provides sufficient context for an agent to use the tool correctly.
Complex tools with many parameters or behaviors need more documentation. Simple tools need less. This dimension scales expectations accordingly.
Does the description clarify parameter syntax, constraints, interactions, or defaults beyond what the schema provides?
Schema description coverage is 0%, so description must compensate. It explains key parameters: exchange (origin), to_exchange (destination), symbol (single asset), fee_amount/fee_asset (network fee), tx_hash (recommended), fiat_value/fiat_currency (optional). However, the 'notes' parameter is not mentioned, and 'amount' is implied but not explicitly defined, leaving a minor gap.
Input schemas describe structure but not intent. Descriptions should explain non-obvious parameter relationships and valid value ranges.
Does the description clearly state what the tool does and how it differs from similar tools?
The description explicitly states the tool logs asset movement between two custodians, uses 'upsert per id', and distinguishes it from a trade by noting no side or price. It also names the sibling tool log_transaction for swaps between different assets, making the purpose unmistakable.
Agents choose between tools based on descriptions. A clear purpose with a specific verb and resource helps agents select the right tool.
Does the description explain when to use this tool, when not to, or what alternatives exist?
The description clearly says when to use (same-asset transfer between custodians) and when not to (different-asset swap, directing to log_transaction). It also advises using tx_hash for on-chain transfers, providing practical guidance.
Agents often have multiple tools that could apply. Explicit usage guidance like "use X instead of Y when Z" prevents misuse.
Tool Schema Changelog
Recent tool additions, removals, and schema changes observed during successful MCP inspections.
3 tool updates
v0.1.0- First observed
get_transaction_history - First observed
log_transaction - First observed
log_transfer
TDQS
Scored across 3 tools
Each tool has a distinct and clear purpose: one for querying history, one for logging trades/swaps, and one for logging asset transfers. There is no overlap in functionality.
All tool names follow a consistent verb_noun pattern with lowercase and underscores: get_transaction_history, log_transaction, log_transfer. This is predictable and easy to understand.
With only 3 tools, the set is minimal but covers the core actions of reading and writing transactions and transfers. It feels slightly thin but is still well-scoped for a focused server.
The server covers basic CRUD operations for transactions and transfers, including upsert and filtering. Missing a dedicated tool for single transaction retrieval or deletion, but the existing tools can accommodate those needs.
Maintenance
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