month-end-close

Automate month-end close workflows with accruals, reconciliations, and sign-off documentation.

19|3|Updated Feb 28, 2026
One-click install
npx skills add https://github.com/qa-aman/claude-skills --skill month-end-close
Or copy as Structured Prompt for Agent▼
Please help me install this Agent Skill.
Skill: month-end-close
Source: https://github.com/qa-aman/claude-skills/tree/main/skills/by-role/accountant/month-end-close
Command: npx skills add https://github.com/qa-aman/claude-skills --skill month-end-close

SYSTEM DOCUMENTATION & REQUIREMENTS

What problem does it solve?

The month-end close is a repetitive, error-prone process that can delay financial reporting. This Skill provides a structured, auditable workflow to ensure accuracy, consistency, and timely close across periods.

Core Features & Use Cases

  • Pre-close planning and cutoff management to ensure data readiness.
  • Post-close adjustments, accruals, prepaids, depreciation, and intercompany eliminations with traceable documentation.
  • Reconciliations, trial balance validation, and a complete close package for sign-off across entities.

Quick Start

Initiate the pre-close checklist for the current period and follow the guided steps to post adjusting entries and generate the close package.

Frequently Asked Questions about month-end-close

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

FAQPage Schema
How do I automate the month-end close workflow for multiple entities?▼

This Skill automates month-end close workflows by structuring pre-close cutoff, adjusting journal entries, reconciliations, and trial balance validation into a complete close package with sign-off across multiple entities.

What is included in a structured month-end close process for GAAP compliance?▼

A structured month-end close process includes pre-close planning, accruals, prepaids, depreciation, intercompany eliminations, reconciliations, trial balance review, and sign-off documentation to ensure accurate GAAP financial reporting.

Can I use this month-end close workflow for quarterly and year-end cycles?▼

Yes, this month-end close workflow applies to monthly, quarterly, and year-end close cycles, handling period cutoffs, adjusting entries, and intercompany eliminations with traceable documentation across all periods.

How do I handle intercompany eliminations and accruals during the close process?▼

The Skill handles intercompany eliminations and accruals by guiding you through posting adjusting entries with traceable documentation, ensuring proper reconciliation and trial balance validation before final sign-off.

What's the best way to ensure audit-ready documentation for financial statements?▼

The best way to ensure audit-ready documentation is to follow the structured close workflow, generating a complete close package with sign-off, traceable adjusting entries, and validated reconciliations for financial statements.

Do I need prior accounting knowledge to use this close process Skill?▼

Yes, prior accounting knowledge of GAAP, journal entries, reconciliations, and financial statements is needed to effectively use this close process Skill for accruals, prepaids, and intercompany eliminations.