MCP Server/Accounting/Bank Feed Statements

Bank Feed Statements Tools

5 MCP tools for managing bank feed statements through the Accounting API. Same schema across 7 connectors.

Operations

GETaccounting_bank_feed_statements_all

Retrieve a paginated list of bank feed statements with optional filtering and sorting.

GETaccounting_bank_feed_statements_one

Retrieve a single record by its unique identifier.

POSTaccounting_bank_feed_statements_create

Create a new record with the provided fields.

PATCHaccounting_bank_feed_statements_update

Update an existing record by its unique identifier.

DELETEaccounting_bank_feed_statements_delete

Remove a record by its unique identifier.

Supported connectors

7 providers support bank feed statements through the Accounting API.

Example usage

Dynamic Mode
MCP
Agent:execute_tool
{ "tool": "accounting_bank_feed_statements_all", "input": { "limit": 10 } }
Found 10 bank feed statements. Returning first page...

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