tally-mcp-server
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- AlicenseNot gradedqualityBmaintenanceEnables Large Language Models to access and query Tally Prime ERP data, including financial reports, masters, and inventory summaries, via the Model Context Protocol.80MIT
- 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
- FlicenseAqualityAmaintenanceThis MCP server enables users to read from and write to TallyPrime via its XML/HTTP gateway, supporting operations like ledger management, voucher creation, and financial report retrieval through natural language.871-
- FlicenseAqualityCmaintenanceExposes TallyPrime accounting data to MCP-compatible clients via Tally's XML HTTP API. Enables listing companies, ledgers, groups, stock items, day book vouchers, and outstanding balances.6-
- FlicenseNot gradedqualityDmaintenanceGives AI models native-level control over TallyPrime ERP, covering 169+ tools across all functional modules including masters, vouchers, reports, GST, payroll, and more.-
- AlicenseNot gradedqualityAmaintenanceBridges Tally Prime ERP with AI assistants, enabling querying financial reports, managing masters, creating vouchers, and analyzing GST data through natural language.AGPL 3.0
TDQS
Scored across 12 tools
Every tool maps to a distinct resource or report: list/get for ledgers and stock items, list for companies/groups/vouchers, and separate tools for each financial report. There is no meaningful overlap or ambiguity between tool purposes.
All tool names follow a consistent verb_noun pattern using list_, get_, or create_. This makes the tool set predictable and easy for an agent to navigate.
Twelve tools is well within the ideal range and each tool earns its place for a Tally accounting integration. The count covers both master data queries, transaction listing/creation, and core financial reports without unnecessary bloat.
The tool set provides strong coverage for reading companies, ledgers, stock items, vouchers, and financial reports, plus creating vouchers. Missing operations like editing or deleting vouchers, viewing individual voucher details, or creating ledgers are minor gaps for an integration focused on retrieval and transaction entry.