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tejash-bhandari-dev

tally-mcp-server

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    TDQS

    A4.1/5.0

    Scored across 6 tools

    Disambiguation5/5

    Each tool targets a distinct Tally entity: companies, ledgers, groups, stock items, vouchers, and balance status. There is no overlap in the data returned, so an agent can easily select the right tool.

    Naming Consistency4/5

    Most tools follow a list_* pattern (list_companies, list_ledgers, list_groups, list_stock_items), but day_book and outstanding_balances deviate. Despite this, the names remain descriptive and predictable.

    Tool Count5/5

    Six tools is a well-scoped set for a TallyPrime integration, covering the primary read operations without being sparse or overwhelming.

    Completeness4/5

    The tool set provides comprehensive read-only coverage of accounting entities: masters, transactions, and balances. Minor gaps exist, such as no voucher-level detail beyond day_book, but the core reporting needs are met.

    Maintenance

    ActivitySlowing
    ResponsivenessNo issues