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Servidor MCP de Lovie

Quais servidores do registro oficial de MCP são de Lovie, se respondem e o que oferecem. Um programa verificou cada item; nada foi copiado da página do produto.

lido em 2026-10-09

← Voltar para Lovie

De quem é o servidor
  • Nome no registroco.lovie/company-formationverificado no registro MCP

O nome no registro fica sob lovie.co. O registro só libera esse espaço de nomes para quem prova controle do domínio por DNS ou HTTP.

Quando perguntamosverificado em 2026-10-09
  • Estadorespondeverificado em 2026-10-09
  • Ferramentas347
  • O servidor se chamalovie
  • Versão do servidor1.0.0
  • Versão do protocolo2025-06-18

Em 2026-10-09 o servidor respondeu a initialize e tools/list sem login. Primeira resposta em 170 ms.

Ferramentas que oferece347 ferramentas · lido em 2026-10-09
  • account_get_account

    GetAccount retrieves a single account by ID with its details

  • account_get_list_account_details

    GetListAccountDetails retrieves account details in batch (eliminates N+1 GetAccount calls)

  • accounting_get_accounting_settings

    GetAccountingSettings returns the company's fiscal-year start and where it comes from: a person's setting, the EIN filing's closing month, or January. Read-only.

  • accounting_get_aging_report

    Accounts receivable or accounts payable aging: the open balances per customer or supplier, split into not yet due, 1-30, 31-60, 61-90 and over 90 days past due, with totals. Reads the items open now; as_of_date only decides how overdue…

  • accounting_get_balance_sheet

    GetBalanceSheet returns assets, liabilities, and equity balances as of a date; equity includes net income to date, so the sheet always balances. Read-only.

  • accounting_get_cash_flow_statement

    GetCashFlowStatement returns the statement of cash flows for a period: net income, then operating, investing and financing activity, reconciled to the change in bank and cash balances. Read-only.

  • accounting_get_chart_of_accounts

    GetChartOfAccounts returns the company's chart of accounts (flat list with parent links; build the tree client-side). Read-only.

  • accounting_get_close_target

    GetCloseTarget names the window the next close has to cover: a reopened period first, else the month after the books are closed through, else the month of the first entry. The same rules ClosePeriod enforces. Read-only.

  • accounting_get_funding_summaries

    Per bank account and card, the balance the books show and how many posted entries came through it. Compare with the bank's own balance from account tools; a difference is what reconciliation resolves. Read-only.

  • accounting_get_general_ledger

    GetGeneralLedger pages through one account's posted lines with opening, running, and closing balances — the account register. Read-only.

  • accounting_get_gl_account_type_catalog

    GetGLAccountTypeCatalog returns every account type with the detail types it admits and the classification it implies — what the New account panel needs to populate its two dependent selects without duplicating the pairing rules. Static…

  • accounting_get_journal_entry_by_transaction

    GetJournalEntryByTransaction returns the journal entry derived for one transaction (empty when none exists yet). Read-only.

  • accounting_get_list_journal_entries

    GetListJournalEntries pages through the journal register with filters — the review queue is filter{needs_review: true}. Read-only.

  • accounting_get_list_periods

    GetListPeriods pages through a company's periods, newest first. Read-only.

  • accounting_get_list_review_items

    List bank transactions awaiting bookkeeping review. Tabs: PENDING (nobody has reviewed the booking as it stands, whether the engine, a rule or a person made it), REVIEWED (a person marked it reviewed and it has not changed since; a…

  • accounting_get_list_schedules

    GetListSchedules pages through a company's schedules. Read-only.

  • accounting_get_list_statements

    List the bank statements imported for reconciliation, newest period first, with how many of each statement's lines are still unmatched. Read-only.

  • accounting_get_period

    GetPeriod returns one closed period by id. Read-only.

  • accounting_get_profit_and_loss

    GetProfitAndLoss returns the income statement for a period: revenue and expense accounts with activity, totals, and net income. Read-only.

  • accounting_get_report_series

    GetReportSeries returns one P&L, balance sheet or cash flow statement per month, quarter or year of a range, in one call: the same figures the single-period RPCs give for each period. Read-only.

  • accounting_get_review_counts

    Count bank transactions per bookkeeping review tab (pending, reviewed, excluded) without fetching rows. Use to report how much review work is outstanding.

  • accounting_get_schedule

    GetSchedule returns one schedule with its postings. Read-only.

  • accounting_get_similar_review_items

    After booking one transaction, find the other pending transactions from the same counterparty in the same cash direction (money out vs money in), so the same correction can be applied to all of them. Returns up to 500 transaction ids…

  • accounting_get_statement

    One statement with its lines and their matches. Read-only.

  • accounting_get_trial_balance

    GetTrialBalance returns every account's debit and credit totals for a period; total debits equal total credits when the books balance. Read-only.

  • accounting_list_accounting_audit_events

    ListAccountingAuditEvents pages through the append-only accounting audit log — who changed what and when across journal entries and the chart of accounts, newest first. Filter by entity_id for one record's history. Read-only.

  • accounting_preview_close

    PreviewClose computes the per-currency revenue/expense totals and the net income a close would roll, without writing anything, and reports what still blocks the close along with what closing carries with it. The blockers come from the…

  • accounting_preview_schedule

    PreviewSchedule computes the straight-line per-period split for the given amount and period count without persisting anything. Read-only.

  • accounting_propose_schedules

    Scan a company's recent posted transactions and suggest accrual schedules (e.g. amortize a large annual prepaid over 12 months). Returns proposals only — nothing is created until a person creates the schedule in the app. Each proposal…

  • accounting_suggest_statement_matches

    Rank ledger transactions against a statement's unmatched lines. Amount must match exactly; date proximity and description then rank the candidates. Writes nothing — a person applies a match on the reconcile screen.

  • accounting_suggest_transfer_pairs

    Rank the journal entries that could be the other half of a transfer between the company's own accounts: opposite direction, same amount, different instrument, dated within a few days. Writes nothing — a person confirms a pair in the app.

  • ads_insight_summarize_ad_spend

    SummarizeAdSpend unions the four ad platforms' daily campaign tables at read time into per-(provider, month, currency) spend/impressions/clicks/ conversions plus a per-currency CPA. Read-time only — no new storage.

  • ads_insight_summarize_campaign_window

    SummarizeCampaignWindow summarises one charge against the campaigns in its billing window. Results are cached per company + account + window + charge, so repeated panel opens do not re-run the agent.

  • approval_session_create_approval_session

    Opens a sensitive-action approval on the user's own trusted device: a push notification asks them to approve on their phone. Use before tools that demand an approval (the domain auth-code reveal, the trademark firm handoff, the ITIN…

  • approval_session_get_approval_session_status

    Read the status of a trusted-device approval session: PENDING, APPROVED, REJECTED or EXPIRED. For a transfer, call this with the approval_session_id from request_transfer_approval once the user says they have answered on their phone, and…

  • autonomous_pay

    Submit a signed payment mandate for autonomous execution. Runs the four-check pipeline and the per-agent autonomy fence; payments outside the agent's envelope are gated to human approval.

  • banking_confirm_extracted_value

    ConfirmExtractedValue records that a human checked a read value. Without it a low-confidence extraction holds its section open forever and the application can never be submitted.

  • banking_confirm_initial_transfer

    Records the opening deposit a founder chose for their banking application. This stores an intention only — it does not move money, and no funds are transferred by any part of Lovie today. Never tell the user their deposit has been sent.

  • banking_extract_document_fields

    Reads an uploaded document on a banking application — a Certificate of Incorporation or an IRS EIN letter — and fills in the values it states, each marked with where it came from and how confident the read was. It never sets the industry…

  • banking_get_banking_application

    GetBankingApplication returns the whole application: the business facts, the beneficial owners, the uploaded documents, what each value's source was, and the sections still outstanding. It is the one read for answering "where is my…

  • banking_get_initial_transfer_preview

    Returns the suggested opening deposit for a banking application and the reason for that figure. Read-only: it moves no money and records nothing.

  • banking_get_issuance_state

    GetIssuanceState reports where this application's deposit account stands: whether it is queued, being opened, open, or could not be opened, and the last four digits once there are any. It exists as its own state so that an approved…

  • banking_hydrate_from_cap_table

    HydrateFromCapTable carries the company's carriable stakeholders onto an open application as beneficial owners. Idempotent: the stakeholder link identifies them, so running twice updates rather than duplicates, and an owner the applicant…

  • banking_hydrate_from_formation

    HydrateFromFormation is idempotent: it writes values and their provenance in one transaction and never overwrites something the applicant supplied.

  • banking_preview_cap_table_hydration

    PreviewCapTableHydration says which of the company's cap-table stakeholders could be carried over as beneficial owners, without writing. Read-only, and unavailable rather than an error when there is nothing to carry.

  • banking_preview_formation_hydration

    PreviewFormationHydration says what a formation would carry over, without writing. Read-only so the entry picker can offer the warm path only when it is genuinely available.

  • banking_refresh_application_provider_status

    RefreshApplicationProviderStatus re-reads the provider's verification verdict for a submitted application and moves it on when the verdict has settled. Pull, not push, for the reason RefreshOwnerVerification is: a webhook nobody received…

  • banking_refresh_owner_verification

    Re-reads the identity-verification outcome for one beneficial owner on a banking application and records it. Idempotent. Does not start a verification and does not carry any of that person's personal data.

  • banking_set_application_ein

    Files a company's employer identification number against a banking application. Nine digits, no separators. The whole number goes to the secret store and only its last four are recorded; the response returns nothing, and no tool reads the…

  • banking_set_owner_identity_document_number

    Files the number on a beneficial owner's passport or US driver's license against a banking application, for an owner who has no SSN or ITIN. Record the document first (kind, issuing country, expiry, and the issuing state for a license) on…

  • banking_set_owner_tax_identifier

    Files one beneficial owner's Social Security Number or ITIN against a banking application. The whole number goes to the secret store and only its last four digits are recorded, which is all the response returns. Ask the person which of…

  • banking_start_banking_application

    StartBankingApplication opens a business account application for a company. A company may have only one undecided application at a time; starting a second is refused rather than splitting the answers across two records. The path says…

  • banking_submit_banking_application

    SubmitBankingApplication freezes the application. It returns the blocking sections rather than a bare failure, so "submit is disabled" always comes with what is missing. Stays exposed — filling in and submitting an application is what an…

  • banking_suggest_industry_code

    Suggest NAICS industry classification codes from a plain-language description of what a business does. Returns each candidate code with its official title and the words that matched, best match first. Returns nothing when the description…

  • banking_update_banking_application

    UpdateBankingApplication takes a FieldMask. Every path in the mask also writes USER provenance, so correcting a carried-over value re-attributes it.

  • banking_upsert_beneficial_owner

    UpsertBeneficialOwner adds or updates one beneficial owner. A request whose owner carries ssn_last4 is refused with INVALID_ARGUMENT and writes nothing: those four digits are recorded only by SetOwnerTaxIdentifier, after the whole…

  • cap_table_clear_cap_table_stakeholders

    ClearCapTableStakeholders deletes every stakeholder of a company in a single DB-level operation. Used by the "replace cap table" import flow.

  • cap_table_close_cap_table_round

    CloseCapTableRound PERMANENTLY closes the round: runs the calc engine, persists the SAFE conversions + ownership snapshots, and flips the round to CLOSED. This is the action for "close the round", "make it permanent", or "finalize the…

  • cap_table_create_cap_table_agreement

    Records a non-SAFE agreement (option, RSU, RSA, FAST advisor agreement, board consent) against a company. Without signed_at it creates a draft and touches nothing else. SIGNED_AT IS NOT A DATE FIELD — it is a declaration that the document…

  • cap_table_create_cap_table_round

    Opens a new funding round on a company's cap table — the container investors and their agreements are attached to. Writes. It does not raise money or close anything: a new round starts OPEN and holds no capital until investors are added…

As primeiras 60 de 347, na ordem do servidor.

Como conectar

Adicione o servidor à configuração do seu cliente MCP. Claude Desktop, Cursor e a maioria dos outros clientes leem este formato:

{
  "mcpServers": {
    "company-formation": {
      "type": "http",
      "url": "https://mcp.lovie.co/mcp/mcp"
    }
  }
}

Também distribuído por: npm

Cada linha é algo que um programa encontrou ao procurar: o registro, a resposta do próprio servidor, uma especificação que se lê. Linha ausente quer dizer que não encontramos, não que não exista.