Skip to main content
Glama
ninetails-io

gnucash-mcp

Related Servers

Alternatives to gnucash-mcp

No user-submitted related servers found.

    Related Servers

    • F
      license
      Not graded
      quality
      D
      maintenance
      Enables interaction with local Beancount accounting ledgers through structured tools for viewing accounts, balances, and transactions, as well as inserting/removing transactions and answering natural-language questions via BeanQuery. Provides deterministic, validated, and auditable financial data operations with offline-first functionality.
      1
      -
    • A
      license
      B
      quality
      A
      maintenance
      Enables local-first personal finance management through deterministic tools for importing, categorizing, and analyzing bank transactions.
      36
      MIT
    • A
      license
      C
      quality
      A
      maintenance
      open-source personal finance app with a first-party MCP server. 91 HTTP tools (OAuth 2.1 + DCR) and 87 stdio tools cover transactions, budgets, accounts, portfolio analytics, FX conversion, loans, subscriptions, goals, importers, and rules. Users self-host with Docker + PostgreSQL or use the managed cloud
      89
      17
      AGPL 3.0
    • A
      license
      Not graded
      quality
      C
      maintenance
      Double-entry accounting MCP server for Claude Desktop. Supports accounts, transactions, ledgers, profit & loss, balance sheet, IVA summary, and QIF export using SQLite.
      MIT
    • A
      license
      Not graded
      quality
      A
      maintenance
      A Model Context Protocol (MCP) server that keeps the books for your personal and business finances using double-entry accounting — driven entirely from an LLM.
      28 npm
      MIT
    • F
      license
      Not graded
      quality
      C
      maintenance
      Enables self-hosted personal finance management for MCP clients by connecting read-only bank accounts via SimpleFIN, syncing transactions into a local SQLite database, and exposing tools to query balances, spending, budgets, cash flow, and net worth.
      -

    TDQS

    A3.8/5.0

    Scored across 87 tools

    Disambiguation4/5

    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.

    Naming Consistency3/5

    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.

    Tool Count2/5

    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.

    Completeness4/5

    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.

    Maintenance

    ActivityActive
    ResponsivenessSlow