close-management

Automate month-end close task sequencing, dependency tracking, and status monitoring.

10|1|Updated Feb 19, 2026
One-click install
npx skills add https://github.com/giadaf-boosha/claude-code --skill close-management-giadaf-boosha
Or copy as Structured Prompt for Agent▼
Please help me install this Agent Skill.
Skill: close-management
Source: https://github.com/giadaf-boosha/claude-code/tree/main/skills/finance-close-management
Command: npx skills add https://github.com/giadaf-boosha/claude-code --skill close-management-giadaf-boosha

SYSTEM DOCUMENTATION & REQUIREMENTS

💡 This Skill includes scripts (resource) and references (resource) components.

What problem does it solve?

This Skill manages the month-end close process, ensuring efficient task sequencing, dependency tracking, and status updates.

Core Features & Use Cases

  • Task Sequencing: Organizes month-end close activities by day, ensuring logical progression.
  • Dependency Tracking: Identifies dependencies between tasks to prevent bottlenecks.
  • Status Tracking: Monitors the progress of each task and identifies blockers.
  • Use Case: For finance professionals, this Skill provides a structured approach to month-end close activities, enhancing efficiency and accuracy.

Quick Start

Start the month-end close process by reviewing the close calendar and confirm cut-off procedures with all contributors.

Frequently Asked Questions about close-management

High-intent search queries and answers about installing and using this skill.

FAQPage Schema
How do I automate month-end close task sequencing and dependency tracking?▼

Automate month-end close by organizing financial close activities by day to ensure logical progression, tracking task dependencies to prevent bottlenecks, and monitoring status updates for period-end processing, accruals, and reconciliation.

What is financial close status tracking and how does it manage accounting process blockers?▼

Financial close status tracking monitors the progress of each period-end accounting task to identify blockers, ensuring efficient task progression and coordination across accounting sub-systems for accurate accruals and reconciliation.

How do I start the month-end close process and confirm cut-off procedures?▼

Start the month-end close process by reviewing the close calendar and confirming cut-off procedures with all contributors to establish a structured approach for tracking dependencies and status updates.

Can I use this for period-end processing and accruals if I coordinate with accounting sub-systems?▼

Yes, this handles period-end processing and accruals by automating task sequencing, but it requires coordination with accounting sub-systems and review by qualified financial professionals to ensure accurate reconciliation.

What is the best way to manage financial close dependencies and prevent bottlenecks?▼

The best way to manage financial close dependencies is by tracking task sequences by day to ensure logical progression, monitoring status updates to identify blockers, and coordinating cut-off procedures with all contributors.

Do I need qualified financial professionals to review the month-end close automation?▼

Yes, qualified financial professionals must review the month-end close automation outputs, as the process handles complex period-end accruals and reconciliation requiring coordination with accounting sub-systems.