Finanzen & Buchhaltung
33 Skills
- Preparar información exógena para la DIAN1× hilfreich
Guía a un agente para preparar la información exógena DIAN de un contribuyente colombiano: diagnóstico de obligación, búsqueda de datos en Atlas o archivos del usuario, limpieza de terceros, matriz de formatos, live documents de revisión, tablas listas para prevalidador y paquete final.
Steuer & ComplianceNutzt adlass-ToolsCOvon Felix Crombach - Registrar una factura de compra en Siigo1× hilfreich
Guía a un agente para construir el payload completo y registrar una factura de compra (FC) en Siigo a partir de una factura electrónica, resolviendo impuestos, retenciones, pagos, centro de costo y terceros.
Steuer & ComplianceNutzt adlass-ToolsCOvon Felix Crombach - Siigo chart of accounts import0× hilfreich
Imports the chart of accounts exported from Siigo Nube into the Siigo chart of accounts record type so posting skills can look up account codes. Use after creating the table from the Siigo integration or whenever accounts change.
Abschluss & ReportingNutzt adlass-Toolsvon adlass Templates - Siigo payment voucher posting0× hilfreich
Posts a Recibo de Caja, Comprobante de Egreso or Comprobante contable in Siigo Nube from a described payment, resolving the third party, open invoices, document type and account codes before writing. Use when a payment must be recorded in Siigo with the correct accounts.
Debitoren & ForderungsmanagementNutzt adlass-Toolsvon adlass Templates - Accounting client advisory report0× hilfreich
Turns management accounts, budget, prior periods, and operating data into a concise client advisory report with reconciled KPIs, explained variances, and prioritized actions. Use for monthly management accounts, client review meetings, and outsourced finance advisory.
Abschluss & ReportingNutzt adlass-Toolsvon adlass Templates - Accounting working-paper builder0× hilfreich
Builds a review-ready working paper for an accounting or assurance area by linking balances, evidence, procedures, conclusions, and exceptions. Use for account reconciliations, audit sections, year-end files, review engagements, and recurring client workpapers.
Abschluss & ReportingNutzt adlass-Toolsvon adlass Templates - AR aging and dunning pack0× hilfreich
Builds an invoice-level accounts-receivable aging, ranks collection exposure, and drafts policy-based dunning actions with evidence. Use for overdue receivables, disputed invoices, collection prioritization, payment reminders, or cash-application review.
Debitoren & ForderungsmanagementNutzt adlass-Toolsvon adlass Templates - Bank reconciliation workpaper0× hilfreich
Matches bank transactions to ledger activity, explains timing and split-payment differences, and produces an auditable open-items schedule. Use for bank reconciliation, cashbook matching, or monthly reconciliation workpapers.
Bank-ReconciliationNutzt adlass-Toolsvon adlass Templates - Budget actual variance0× hilfreich
Reconciles approved budgets to actual financial postings, calculates material favorable or unfavorable movements, and explains the largest cost-center and account drivers in a cited workpaper. Use for monthly close, spend control, management reporting, forecast misses, and budget reviews.
Planung & BudgetNutzt adlass-Toolsvon adlass Templates - Cash collection forecast0× hilfreich
Builds a weekly customer-receipts forecast from AR aging, invoice due dates, payment history, disputes, credit notes, and collection promises, with variance to the previous forecast. Use for treasury receipts planning, collections prioritization, and short-term liquidity reviews.
Debitoren & ForderungsmanagementNutzt adlass-Toolsvon adlass Templates - Customer invoice data validation0× hilfreich
Validates customer invoice records against orders, contracts, tax fields, and payment terms, flagging duplicates, arithmetic errors, missing identifiers, and inconsistent customer or currency data. Use for billing QA, invoice audits, accounts-receivable cleanup, pre-send checks, and master-data validation.
Debitoren & ForderungsmanagementNutzt adlass-Toolsvon adlass Templates - Expense policy audit0× hilfreich
Tests expense claims and receipts against a company travel and expense policy, identifies duplicates and unsupported amounts, and drafts precise employee queries. Use for expense audit, reimbursement review, or travel policy compliance.
Spesen & ReisekostenNutzt adlass-Toolsvon adlass Templates - Financial document classification0× hilfreich
Classifies finance documents into controlled AP categories, extracts routing metadata, and flags ambiguous or duplicate evidence for review. Use for invoice intake, credit-note handling, receipt coding, statement registers, payment evidence, and accounts-payable triage.
Rechnungs- & Beleg-ExtraktionNutzt adlass-Toolsvon adlass Templates - Fixed asset review0× hilfreich
Reviews a fixed-asset register against acquisition invoices, capitalization policy, depreciation schedules, disposals, and general-ledger balances, flagging unsupported assets and calculation or classification exceptions. Use for month-end close, asset-register cleanup, capitalization review, impairment evidence preparation, and audit support.
Abschluss & ReportingNutzt adlass-Toolsvon adlass Templates - Intercompany balance confirmation0× hilfreich
Reconciles reciprocal intercompany receivable and payable balances by entity, counterparty, account, currency, and period, explaining timing, FX, and settlement differences. Use for month-end close, group reporting, and intercompany confirmation preparation.
Abschluss & ReportingNutzt adlass-Toolsvon adlass Templates - Invoice Approval Routing0× hilfreich
Invoice Approval Routing converts invoice_id, supplier_id, invoice_number, currency into approval queue and control report with required approver role, threshold basis, match result, duplicate flags, and blocked reasons, with cited evidence, explicit rules, and unresolved exceptions. Use for invoice approval routing, recurring review, and decision preparation.
KreditorenbuchhaltungNutzt adlass-Toolsvon adlass Templates - Invoice duplicate check0× hilfreich
Detects possible duplicate supplier invoices by comparing invoice number, supplier, invoice date, currency, gross amount, purchase order, and line-item fingerprints, then separates exact duplicates from legitimate recurring charges. Use for invoice duplicate check, evidence review, management reporting, and decision support.
KreditorenbuchhaltungNutzt adlass-Toolsvon adlass Templates - Invoice register cleanup0× hilfreich
Normalizes an invoice register, repairs safe formatting inconsistencies, identifies missing keys and duplicate records, and reports changes without inventing financial facts. Use for accounts-payable register cleanup, invoice control, and finance data preparation.
KreditorenbuchhaltungNutzt adlass-Toolsvon adlass Templates - Invoice three-way match0× hilfreich
Matches supplier invoice lines to purchase orders and goods receipts, checking supplier, item, quantity, unit price, tax treatment, duplicate invoices, and tolerance rules. Use for accounts-payable controls, invoice exception queues, and payment-readiness reviews.
KreditorenbuchhaltungNutzt adlass-Toolsvon adlass Templates - Month-end close runner0× hilfreich
Runs a month-end close review by checking balances, recurring entries, reconciliations, and open evidence. Use for close packs, management-account close, bookkeeping review, close checklist review, and recurring accounting quality checks.
Abschluss & ReportingNutzt adlass-Toolsvon adlass Templates - Overdue invoice prioritization0× hilfreich
Ranks overdue customer invoices by exposure, age, dispute status, payment history, credit notes, and collection policy stage, producing a cited collections worklist. Use for overdue AR review, cash-collection planning, receivables risk, or dispute triage.
Debitoren & ForderungsmanagementNutzt adlass-Toolsvon adlass Templates - Payment Receipt Reconciliation0× hilfreich
Payment Receipt Reconciliation converts receipt_id, value date, payer, amount into cash-application sheet and reconciliation report with exact matches, grouped settlements, partials, unapplied receipts, short-pays, and variance totals, with cited evidence, explicit rules, and unresolved exceptions. Use for payment receipt reconciliation, recurring review, and decision preparation.
Bank-ReconciliationNutzt adlass-Toolsvon adlass Templates - Payment run precheck0× hilfreich
Checks a proposed payment run before release by reconciling payment rows to approved invoices, supplier master data, bank details, due dates, holds, currencies, and duplicate-payment controls. Use for payment run precheck, evidence review, management reporting, and decision support.
KreditorenbuchhaltungNutzt adlass-Toolsvon adlass Templates - Receipt expense extraction0× hilfreich
Extracts merchant, date, amount, tax, currency, payment method, and coding fields from receipts into a reconciled expense ledger, while flagging unreadable, duplicate, and policy-sensitive records. Use for receipt processing, reimbursement preparation, or expense data cleanup.
Spesen & ReisekostenNutzt adlass-Toolsvon adlass Templates - Recipe costing and menu engineering0× hilfreich
Calculates recipe and portion costs, combines them with sales and margin data, and produces menu-engineering recommendations. Use for restaurant menu reviews, recipe cost updates, price setting, contribution analysis, and item rationalization.
Planung & BudgetNutzt adlass-Toolsvon adlass Templates - Recurring expense audit0× hilfreich
Audits recurring expenses and accruals by reconciling ledger postings, invoice schedules, contracts, purchase orders, supplier records, and prior periods, then quantifying duplicates, renewals, missing accruals, price changes, and cancellation opportunities. Use for close review, spend control, subscription audits, and cost-base clean-up.
Spesen & ReisekostenNutzt adlass-Toolsvon adlass Templates - Revenue recognition assessment0× hilfreich
Assesses contract arrangements by identifying promised goods or services, transaction price, performance obligations, transfer evidence, timing, modifications, and proposed recognition treatment from cited contract and finance records. Use for revenue recognition assessment, evidence review, management reporting, and decision support.
Debitoren & ForderungsmanagementNutzt adlass-Toolsvon adlass Templates - Sales to invoice readiness0× hilfreich
Checks whether a closed-won sale contains the customer, contract, order, delivery, pricing, tax, and billing evidence needed for an accurate invoice, then produces a readiness checklist and exception report. Use before billing, during quote-to-cash controls, for recurring services, milestones, and invoice hold reviews.
Debitoren & ForderungsmanagementNutzt adlass-Toolsvon adlass Templates - Spend analysis and savings opportunities0× hilfreich
Normalizes supplier spend, groups categories, identifies concentration, off-contract purchases, price dispersion, and quantified savings opportunities. Use for spend analysis, procurement review, or category strategy. Includes supplier concentration and category-level opportunity analysis for finance and procurement teams.
KreditorenbuchhaltungNutzt adlass-Toolsvon adlass Templates - Thirteen-week cash forecast0× hilfreich
Builds a rolling thirteen-week cash forecast from bank balances, customer receipts, supplier payments, payroll, fixed costs, financing, taxes, and explicit timing assumptions, with base, downside, and upside scenarios. Use for treasury, runway, and weekly liquidity planning.
Planung & BudgetNutzt adlass-Toolsvon adlass Templates - Vendor statement reconciliation0× hilfreich
Reconciles a supplier statement to the company payable ledger, identifies missing invoices, unallocated payments, credits, duplicates, and timing differences, and drafts a cited dispute summary. Use for supplier statement reconciliation or AP balance confirmation.
KreditorenbuchhaltungNutzt adlass-Toolsvon adlass Templates Guía a un agente para conciliar cuentas bancarias de una empresa colombiana: normaliza extractos y auxiliares, incorpora liquidaciones de pasarelas de pago (comisiones, IVA y retenciones), cruza recaudos y pagos contra facturas de venta y compra, propone los comprobantes contables faltantes (o los registra vía API en Siigo/Alegra) y entrega el informe de cierre mensual con partidas pendientes.
Bank-ReconciliationNutzt adlass-ToolsCOvon Felix Crombach- Crear un comprobante contable en Siigo0× hilfreich
Guía a un agente para construir el payload de un comprobante contable (CC) en Siigo: líneas de débito y crédito balanceadas, cuentas, tercero, centro de costo y observaciones, con los datos que vienen del API y los que debe pedir al usuario.
Abschluss & ReportingNutzt adlass-ToolsCOvon Felix Crombach