gnucash-mcp
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TDQS
Scored across 87 tools
Most tools target a distinct resource+action (create_account vs update_account vs delete_account), and workflows like document status are carefully explained. The main ambiguities are the single-vs-bulk price pairs (create_price/create_prices, get_prices/get_latest_price) and the overlapping transaction entry tools (create_transactions vs enter_statement), though descriptions do disambiguate them.
The core follows a consistent verb_noun pattern (list_accounts, create_transactions, delete_price, reconcile_account), but many report-style tools break it with noun phrases like balance_sheet, cash_flow, net_worth, spending_by_category, and vendor_spending_report. The mix is readable but not uniform.
87 tools is far beyond a typical practical surface and will overwhelm agents even though GnuCash is a broad domain. Many bulk/single and report variants inflate the count; the server would be more usable consolidated to ~50 tools.
Coverage is impressively deep: accounts, transactions, reconciliation, documents, parties, jobs, budgets, commodities, prices, lots, scheduled transactions, and reporting all have lifecycle or workflow support. Notable gaps remain — billterms have no update/delete, documents have no header-edit or entry-removal tools, and backups cannot be listed or restored via the API.