New capability for importing bank transactions (Schwab JSON), matching against existing ledger entries, creating missing transactions, and reconciling balances. Includes two new Grist tables (Reconciliations, BankRules), two bank-import templates, and reference documentation.
12 KiB
Workflow Examples
Detailed code examples for common accounting operations.
Important: Before adding records, consult schema.md to identify writable fields. Formula columns (marked "Formula" in schema) must NOT be included in add_records payloads or a 400 error will occur.
Contents
- Create a Vendor
- Create Items
- Complete Bill Entry
- Pay Bill from Checking
- Pay Bill via Owner
- Reimburse Owner
- Batch Operations
- Bank Reconciliation
Create a Vendor
add_records("Vendors", [{
"Name": "Acme Corp",
"DefaultExpenseAccount": 36, # Software & Subscriptions
"PaymentTerms": "Due on Receipt",
"Notes": "Software vendor",
"IsActive": True
}])
# Returns: {"inserted_ids": [vendor_id]}
Create Items for Common Purchases
add_records("Items", [{
"Name": "Monthly Software",
"DefaultAccount": 36,
"DefaultDescription": "Monthly SaaS subscription",
"IsActive": True
}])
Complete Bill Entry (6 Steps)
Step 1: Create Bill Header
add_records("Bills", [{
"Vendor": 1, # vendor_id
"BillNumber": "INV-001",
"BillDate": 1759708800, # Unix timestamp
"DueDate": 1759708800,
"Status": "Open",
"Memo": "October services"
}])
# Returns: {"inserted_ids": [bill_id]}
Step 2: Create Bill Line(s)
add_records("BillLines", [{
"Bill": 1, # bill_id from step 1
"Item": 1, # optional - auto-fills Account/Description
"Account": 36, # expense account
"Description": "Monthly subscription",
"Amount": 100.00
}])
Step 3: Create Journal Entry
# Transaction header
add_records("Transactions", [{
"Date": 1759708800,
"Description": "Acme Corp - October services",
"Reference": "INV-001",
"Status": "Posted"
}])
# Returns: {"inserted_ids": [txn_id]}
# Transaction lines: Debit expense, Credit AP
add_records("TransactionLines", [
{"Transaction": 1, "Account": 36, "Debit": 100.00, "Credit": 0, "Memo": "Monthly subscription"},
{"Transaction": 1, "Account": 4, "Debit": 0, "Credit": 100.00, "Memo": "Monthly subscription"}
])
Step 4: Link Bill to Transaction
update_records("Bills", [{"id": 1, "fields": {"EntryTransaction": 1}}])
Step 5: Upload Invoice (if available)
bash scripts/upload-attachment.sh invoice.pdf Bills 1 $TOKEN Invoice
Step 6: Post-Entry Audit (REQUIRED)
Run audit checks before concluding. See Audit Reference for details.
-- Check 1: Transaction balanced
SELECT IsBalanced FROM Transactions WHERE id = {txn_id}
-- Expected: true
-- Check 2: Bill integrity
SELECT id, Vendor, EntryTransaction, Amount FROM Bills WHERE id = {bill_id}
-- Expected: All fields populated, Amount > 0
Pay Bill from Checking Account
# Step 1: Create payment transaction
add_records("Transactions", [{
"Date": 1760832000,
"Description": "Payment - Acme Corp INV-001",
"Reference": "Check #1001",
"Status": "Cleared"
}])
# Returns: {"inserted_ids": [txn_id]}
# Step 2: Debit AP, Credit Checking
add_records("TransactionLines", [
{"Transaction": 2, "Account": 4, "Debit": 100.00, "Credit": 0, "Memo": "Pay INV-001"},
{"Transaction": 2, "Account": 14, "Debit": 0, "Credit": 100.00, "Memo": "Pay INV-001"}
])
# Step 3: Create BillPayment record
add_records("BillPayments", [{
"Bill": 1,
"Transaction": 2,
"Amount": 100.00,
"PaymentDate": 1760832000
}])
# Step 4: Update bill status
update_records("Bills", [{"id": 1, "fields": {"Status": "Paid"}}])
# Step 5: Upload receipt (if available)
# bash scripts/upload-attachment.sh receipt.pdf Bills 1 $TOKEN Receipt
# Step 6: Post-Payment Audit (REQUIRED)
# Verify payment transaction balances and bill status updated correctly
Pay Bill via Owner Reimbursement
When the owner pays a business expense personally:
# Step 1: Create payment transaction
add_records("Transactions", [{
"Date": 1760832000,
"Description": "Owner payment - Acme Corp INV-001",
"Reference": "Owner Reimb",
"Status": "Posted"
}])
# Step 2: Debit AP, Credit Due to Owner (not Checking)
add_records("TransactionLines", [
{"Transaction": 2, "Account": 4, "Debit": 100.00, "Credit": 0, "Memo": "Pay INV-001"},
{"Transaction": 2, "Account": 22, "Debit": 0, "Credit": 100.00, "Memo": "Owner paid"}
])
# Step 3: Create BillPayment record
add_records("BillPayments", [{
"Bill": 1,
"Transaction": 2,
"Amount": 100.00,
"PaymentDate": 1760832000
}])
# Step 4: Update bill status
update_records("Bills", [{"id": 1, "fields": {"Status": "Paid"}}])
# Step 5: Upload receipt (if available)
# bash scripts/upload-attachment.sh receipt.pdf Bills 1 $TOKEN Receipt
# Step 6: Post-Payment Audit (REQUIRED)
Reimburse Owner
When business pays back the owner:
add_records("Transactions", [{
"Date": 1762041600,
"Description": "Owner reimbursement",
"Reference": "Transfer",
"Status": "Cleared"
}])
add_records("TransactionLines", [
{"Transaction": 3, "Account": 22, "Debit": 500.00, "Credit": 0, "Memo": "Reimburse owner"},
{"Transaction": 3, "Account": 14, "Debit": 0, "Credit": 500.00, "Memo": "Reimburse owner"}
])
Batch Operations
When entering multiple bills efficiently:
- Create all Bills first → collect inserted IDs
- Create all BillLines referencing bill IDs
- Create all Transactions → collect inserted IDs
- Create all TransactionLines referencing transaction IDs
- Update all Bills with EntryTransaction links in one call
- (If paying) Create payment transactions, lines, and BillPayments
- Upload invoice attachments if files are available
Batch Attachment Uploads
# Example batch upload pattern
TOKEN=$(request_session_token with write permission)
for each (bill_id, invoice_path):
curl -X POST -H "Authorization: Bearer $TOKEN" \
-F "file=@$invoice_path" \
https://grist-mcp.bballou.com/api/v1/attachments
# Returns attachment_id
update_records("Bills", [{"id": bill_id, "fields": {"Invoice": ["L", attachment_id]}}])
Batch Update Example
update_records("Bills", [
{"id": 1, "fields": {"EntryTransaction": 1}},
{"id": 2, "fields": {"EntryTransaction": 2}},
{"id": 3, "fields": {"EntryTransaction": 3}}
])
Sample Payloads
Copy-paste ready JSON payloads for add_records. Only writable fields are included.
Owner Equity Contribution
// Transaction
{"Date": 1768348800, "Description": "Owner equity contribution", "Reference": "Owner Investment", "Status": "Posted", "Memo": ""}
// TransactionLines (Debit Checking, Credit Owner's Investment)
[
{"Transaction": 51, "Account": 14, "Debit": 1000, "Credit": 0, "Memo": "Owner equity contribution"},
{"Transaction": 51, "Account": 23, "Debit": 0, "Credit": 1000, "Memo": "Owner equity contribution"}
]
Owner Draw
// Transaction
{"Date": 1768348800, "Description": "Owner draw", "Reference": "Transfer", "Status": "Cleared", "Memo": ""}
// TransactionLines (Debit Owner's Draws, Credit Checking)
[
{"Transaction": 52, "Account": 24, "Debit": 500, "Credit": 0, "Memo": "Owner draw"},
{"Transaction": 52, "Account": 14, "Debit": 0, "Credit": 500, "Memo": "Owner draw"}
]
Direct Expense (No Bill)
For bank fees, minor expenses without vendor invoices:
// Transaction
{"Date": 1768348800, "Description": "Bank service fee", "Reference": "Statement", "Status": "Cleared", "Memo": "Monthly account fee"}
// TransactionLines (Debit Expense, Credit Checking)
[
{"Transaction": 53, "Account": 30, "Debit": 15, "Credit": 0, "Memo": "Monthly fee"},
{"Transaction": 53, "Account": 14, "Debit": 0, "Credit": 15, "Memo": "Monthly fee"}
]
Revenue Receipt
// Transaction
{"Date": 1768348800, "Description": "Client payment - Project X", "Reference": "INV-100", "Status": "Cleared", "Memo": ""}
// TransactionLines (Debit Checking, Credit Revenue)
[
{"Transaction": 54, "Account": 14, "Debit": 2500, "Credit": 0, "Memo": "Project X payment"},
{"Transaction": 54, "Account": 25, "Debit": 0, "Credit": 2500, "Memo": "Service revenue"}
]
Key Account IDs Reference
| ID | Code | Name |
|---|---|---|
| 4 | 2000 | Accounts Payable |
| 14 | 1001 | Checking Account |
| 22 | 2203 | Due to Owner |
| 23 | 3001 | Owner's Investment |
| 24 | 3002 | Owner's Draws |
| 25 | 4001 | Service Revenue |
| 26 | 4010 | Interest Income |
| 30 | 5020 | Bank & Merchant Fees |
| 36 | 5080 | Software & Subscriptions |
Bank Reconciliation
Import bank transactions, match against ledger, create missing entries, and reconcile.
For full reference: see reconciliation.md
Phase 1: Import Bank File (Schwab JSON)
# Read and parse the bank export file
import json
with open("path/to/schwab_export.json") as f:
data = json.load(f)
# Parse each PostedTransaction
for txn in data["PostedTransactions"]:
# Date: "MM/DD/YYYY" -> Unix timestamp
# Amount: parse "$X,XXX.XX" strings; Deposit = positive, Withdrawal = negative
# Empty string = no amount (skip)
pass
Phase 2: Match Against Ledger
# Fetch existing TransactionLines for Checking (id=14)
# MUST use get_records, not sql_query (Transaction is reserved word)
get_records("TransactionLines", filter={"Account": [14]})
# Get transaction details for date matching
sql_query("SELECT id, Date, Description, Status FROM Transactions WHERE id IN (...)")
# Match criteria: exact amount AND date ±3 days AND not already matched
# Deposits match Debit > 0 (money into checking = debit to asset)
# Withdrawals match Credit > 0 (money out of checking = credit to asset)
Phase 3: Create Missing Transactions
# For unmatched deposits (e.g., interest income):
add_records("Transactions", [{
"Date": 1738195200,
"Description": "Bank interest income",
"Reference": "Interest Paid",
"Status": "Cleared",
"Memo": "Auto-imported from bank statement"
}])
# Returns: {"inserted_ids": [txn_id]}
# Dr Checking, Cr Interest Income
add_records("TransactionLines", [
{"Transaction": txn_id, "Account": 14, "Debit": 0.01, "Credit": 0, "Memo": "Bank interest"},
{"Transaction": txn_id, "Account": 26, "Debit": 0, "Credit": 0.01, "Memo": "Bank interest"}
])
# For unmatched withdrawals (e.g., ATM owner draw):
add_records("Transactions", [{
"Date": 1739750400,
"Description": "ATM withdrawal - owner draw",
"Reference": "P421164 88 ESSEX STREET NEW YORK",
"Status": "Cleared",
"Memo": "Auto-imported from bank statement"
}])
# Dr Owner's Draws, Cr Checking
add_records("TransactionLines", [
{"Transaction": txn_id, "Account": 24, "Debit": 102.00, "Credit": 0, "Memo": "ATM withdrawal"},
{"Transaction": txn_id, "Account": 14, "Debit": 0, "Credit": 102.00, "Memo": "ATM withdrawal"}
])
# Optionally save a BankRule for auto-categorization:
add_records("BankRules", [{
"Account": 14,
"Pattern": "Interest Paid",
"MatchType": "Contains",
"OffsetAccount": 26,
"TransactionDescription": "Bank interest income",
"IsActive": true
}])
Phase 4: Reconcile
# Update matched existing transactions to Cleared status
update_records("Transactions", [
{"id": existing_txn_id, "fields": {"Status": "Cleared"}}
])
# Calculate cleared balance
lines = get_records("TransactionLines", filter={"Account": [14]})
txn_ids = list(set(l["fields"]["Transaction"] for l in lines))
cleared = sql_query(f"SELECT id FROM Transactions WHERE Status = 'Cleared' AND id IN (...)")
cleared_ids = set(r["id"] for r in cleared)
cleared_balance = sum(
l["fields"]["Debit"] - l["fields"]["Credit"]
for l in lines
if l["fields"]["Transaction"] in cleared_ids
)
# Create Reconciliation record
add_records("Reconciliations", [{
"Account": 14,
"StatementDate": 1739750400, # date of last bank entry
"StatementBalance": 1398.01,
"ClearedBalance": cleared_balance,
"Difference": 1398.01 - cleared_balance,
"Status": "Completed", # if Difference == 0
"StartedAt": 1739923200, # today
"CompletedAt": 1739923200,
"Notes": "Reconciled against Schwab export"
}])
# Verify
sql_query("SELECT * FROM Transactions WHERE IsBalanced = false")