Financial and accounting reconciliation on F360 Finanças (management for retail chains and franchises), card reconciliation, accounting/managerial reports, transfers between accounts, charts of accounts, customers/suppliers and invoices, via the official Public API. Read-only. Pairs with the Banco MCP to reconcile bank statements with card reconciliation. Auth via the API key generated in the F360 account under Webservices.
https://api.mcp.ai/p_f360에이전트에 연결하거나 REST로 호출하기 위한 기계 판독용 문서.
이 서버를 활성화하면 에이전트에 요청할 수 있는 실제 작업들.
Generate last week's card reconciliation
List the invoices issued in May
Show this month's managerial report