Bookkeeping setup
Create a bookkeeping context profile before downstream bookkeeping work. Captures entity type, tax jurisdiction, accounting method, chart of accounts baseline, connected tools, approval thresholds, record-retention policy, and review boundaries. Trigger on "set up my bookkeeping", "bookkeeping context", "chart of accounts", "cash or accrual", "configure my books", "what info do you need before bookkeeping".
- Published
- Jun 2, 2026
- Updated
- Jun 2, 2026
- Format
- HTML + Markdown
Bookkeeping Setup
Create the operating context that every later bookkeeping skill should use. Without this profile, agents guess about entity type, accounting method, tax treatment, approval boundaries, and chart-of-accounts structure.
Use this skill first for a new business, a new agent workspace, a messy catch-up project, or any workflow where the downstream skills do not yet know how the books are supposed to work.
Output
Produce a bookkeeping_context_profile and a short setup checklist. Store or return it in a reviewable format the user can reuse.
Minimum profile:
bookkeeping_context_profile:
business:
legal_name:
trade_name:
entity_type:
jurisdiction:
home_currency:
fiscal_year_end:
tax:
country:
filing_context:
sales_tax_or_vat_registered:
payroll_in_use:
contractor_payments_expected:
accounting:
method: cash | accrual | unknown
books_tool:
bank_accounts:
credit_cards:
connected_sources:
chart_of_accounts_baseline:
operations:
receipt_sources:
bank_statement_sources:
recurring_vendors:
approval_thresholds:
posting_policy:
record_retention_policy:
review:
can_auto_draft:
requires_user_approval:
requires_accountant_review:
open_questions:
Procedure
1. Check for existing context
Before asking questions, look for an existing bookkeeping context profile in the project, workspace notes, accounting export, onboarding doc, or prior agent output.
If a usable profile exists, summarize it and only ask for missing or stale fields. Do not restart setup from scratch.
2. Capture business identity
Record:
- legal name and trade name
- entity type, such as sole proprietor, single-member LLC, partnership, S corporation, C corporation, nonprofit, or unknown
- tax jurisdiction and home currency
- fiscal year end
- owner or finance contact
If entity type is unknown, keep it as unknown and route entity-specific tax treatment to user or accountant review.
3. Choose the accounting basis
Capture the accounting method:
| Situation | Likely method | Notes |
|---|---|---|
| Solo operator, freelancer, simple service business | Cash | Common default for small businesses |
| Tracks unpaid invoices or unpaid vendor bills | Accrual or hybrid | Confirm with accountant or accounting system |
| Inventory-heavy business | Accrual likely | Inventory and COGS require tighter controls |
| User is unsure | Unknown | Do not infer final tax treatment |
Use the accounting method to shape downstream work:
- Cash basis: record most income and expenses when money changes hands.
- Accrual basis: track receivables, payables, accruals, prepaids, deferred revenue, and adjusting entries.
- Unknown: draft records, but flag method-sensitive decisions.
4. Define a starter chart of accounts
Create a practical baseline, not an overbuilt accounting system.
Core accounts:
- Cash and bank accounts
- Credit cards and loans
- Revenue accounts
- Cost of goods sold, if applicable
- Operating expenses mapped to relevant tax lines
- Owner equity, draws, and contributions
- Sales tax, VAT, payroll, or contractor liabilities when applicable
For US sole proprietors, align expense categories to Schedule C where practical. For other jurisdictions, keep jurisdiction-specific mappings explicit and mark them for review.
5. Capture tools and source systems
Record where evidence and books live:
- accounting software, spreadsheet, or ledger
- bank and credit card statement sources
- receipt and invoice sources, including email-native extraction
- payroll, invoicing, bill-pay, ecommerce, payment processor, or tax tools
- file storage or document archive
Prefer source systems with strong provenance. Use email-native extraction for receipts and invoices already in Gmail or Outlook when available.
6. Set approval boundaries
Separate safe drafting from risky finalization.
Safe to automate without asking first:
- collecting setup facts from available context
- drafting the context profile
- proposing a chart-of-accounts baseline
- identifying missing setup data
- preparing import maps, review queues, and draft rules
Require explicit user approval before:
- changing accounting-system settings
- creating, renaming, merging, or deleting accounts
- posting journal entries
- locking periods
- filing taxes, sales tax, VAT, payroll, or 1099s
- applying tax treatment to ambiguous items
Require accountant review when:
- entity type or tax election is unclear
- cash vs accrual affects material amounts
- inventory, payroll, sales tax, multi-entity, or international tax is involved
- owner transactions are mixed with business activity
7. Produce the setup checklist
End with:
- completed context profile
- missing information
- recommended next skill
- records or systems still needed
- approval boundaries
Use this handoff:
| If the user wants… | Next skill |
|---|---|
| Capture receipts or invoices | receipt-processing |
| Categorize transactions | expense-categorization |
| Match books to statements | bank-reconciliation |
| Close a month | monthly-close |
| Prepare accountant or tax package | tax-prep |
| Ask whether a deduction is allowed | Specialized tax skill |
Setup checklist
Business identity captured: yes/no
Entity type confirmed: yes/no
Tax jurisdiction confirmed: yes/no
Accounting method confirmed: cash/accrual/unknown
Chart of accounts baseline drafted: yes/no
Source systems listed: yes/no
Approval thresholds set: yes/no
Record retention policy set: yes/no
Open questions:
- ...
Recommended next skill:
- ...
Agent metadata
skill: bookkeeping-setup
version: 3.0
default_output: bookkeeping_context_profile + setup_checklist
automation_boundary: draft-context-and-account-map
approval_required_for:
- changing accounting settings
- posting entries
- creating or merging live accounts
- filing or finalizing compliance work
next_steps:
- receipt-processing
- expense-categorization
- bank-reconciliation
- monthly-close
- tax-prep