—
/100
Unscored
○ Unscored 0⁄0
MCP-Finance-Reconciliation
Automates month-end close reconciliation tasks including bank statement matching, GL account reconciliation, intercompany balance checking, and close task tracking.
Unscored visibility
— 0/0 applicable dimensions scored
○ Schema Quality
— Protocol
— Reliability
○ Docs & Maintenance
○ Security Hygiene
— Schema Interpretability
Schema Quality
—
42% weight
Protocol Compliance
N/A
Local server
Reliability
N/A
Local server
Docs & Maintenance
—
25% weight
Security Hygiene
—
33% weight