.agents/skills/api/SKILL.md
Use this skill whenever you call, debug, or review code that touches the Jaz REST API. Covers field names, response shapes, 117 production gotchas, error recovery (422/400/404/500), search filters, pagination, and edge cases for every endpoint — invoices, bills, credit notes, journals, cash entries, payments, contacts, CoA, items, tax profiles, bank records, fixed assets, schedulers, subscriptions, attachments, and Jaz Magic extraction. Also use when building API clients, seeding test data, or adding new endpoint support.
npx skillsauth add teamtinvio/jaz-ai jaz-apiInstall this skill globally with one command. Works with Claude Code, Cursor, and Windsurf.
3 of 9 scanners reported clean
Some scanners were skipped, did not run, or reported a non-clean status. Review each row below.
You are working with the Jaz REST API — the accounting platform backend. Also fully compatible with Juan Accounting (same API, same endpoints).
Base URL: https://api.getjaz.com
Auth: x-jk-api-key: <key> header on every request — key has jk- prefix (e.g., jk-a1b2c3...). NOT Authorization: Bearer or x-api-key.
Content-Type: application/json for all POST/PUT/PATCH (except multipart endpoints: createBusinessTransactionFromAttachment FILE mode, importBankStatementFromAttachment, and attachment uploads)
All paths are prefixed: /api/v1/ (e.g., https://api.getjaz.com/api/v1/invoices)
resourceId — never id. References use <resource>ResourceId suffix.valueDate — not issueDate, invoiceDate, date. This is an accounting term meaning "date of economic effect."YYYY-MM-DD strings — ISO datetime and epoch ms are rejected.paymentAmount = bank account currency (actual cash moved), transactionAmount = transaction document currency (invoice/bill/credit note — amount applied to balance). For same-currency, both are equal. For FX (e.g., USD invoice paid from SGD bank at 1.35): paymentAmount: 1350 (SGD), transactionAmount: 1000 (USD).valueDate — not paymentDate, not date.accountResourceId — not bankAccountResourceId.paymentAmount, transactionAmount, accountResourceId, paymentMethod, reference, valueDate.{ payments: [...] } — array recommended. Flat objects are now auto-wrapped by the API, but array format is preferred for clarity.name — not description.internalName, but name alias is accepted on POST. GET responses return both internalName and name.tagName, but name alias is accepted on POST. GET responses return both tagName and name.name, GET returns both customFieldName and name.reference — not referenceNumber.saveAsDraft defaults to false — omitting it creates a finalized transaction. Explicitly sending saveAsDraft: true creates a draft.saveAsDraft: false (or omitted), every lineItem MUST have accountResourceId.+65XXXXXXXX (SG), +63XXXXXXXXXX (PH). No spaces.accountType: "Bank Accounts". A convenience endpoint GET /bank-accounts exists but returns a flat array [{...}] — NOT the standard paginated { data, totalElements, totalPages } shape. Normalize before use.accounts — not chartOfAccounts.currency — not currencyCode. (Asymmetry — GET returns currencyCode.)classificationType — GET returns accountType. Same values.POST /items/bulk-upsert) — max 500 per call. Provide resourceId per item to update (partial — only changed fields needed, server preserves existing values). Omit resourceId to create (defaults: status=ACTIVE, itemCategory=NON_INVENTORY). Response: { resourceId: null, resourceIds: [...] }. SYNC — returns resourceIds immediately.POST /contacts/bulk-upsert) — max 500 per call. Provide resourceId to update (partial), omit to create. billingName required for create. ASYNC — returns { jobId, status: "QUEUED", totalRecords }. Poll search_background_jobs with filter: {resourceId:{eq:jobId}} until status is SUCCESS, FAILED, or PARTIAL_SUCCESS. Unlike items, contacts bulk-upsert is asynchronous.POST /organization/currencies/rates/bulk-upsert) — max 500 per call. Requires rateDirection per rate (FUNCTIONAL_TO_SOURCE or SOURCE_TO_FUNCTIONAL). Auto-enables currencies not yet enabled in the org — no need to call add_currency first. Response: { resourceId: null, resourceIds: [...] }.jobId can be polled via search_background_jobs. This includes: contacts bulk-upsert (UPSERT_CONTACTS), items bulk-upsert (UPSERT_ITEMS), bank statement import (PROCESS_BANK_STATEMENT_FILES), and magic processing (MAGIC_TRANSACTION_*).resourceId, NOT jobId — filter: {jobId:{eq:...}} is silently ignored (returns ALL jobs). Must use filter: {resourceId:{eq:theJobId}}. The response field is named jobId but the filter path is resourceId.SUCCESS, FAILED, or PARTIAL_SUCCESS. Use processedCount, failedCount, totalRecords for progress. PARTIAL_SUCCESS means some records succeeded and some failed — check errorDetails array for per-record errors.startedAt filter does NOT work — use createdAt for date range filtering.errorDetails is [] (empty array) on success — not null.UPSERT_CONTACTS, UPSERT_ITEMS, PROCESS_BANK_STATEMENT_FILES, MAGIC_TRANSACTION_PURCHASE, MAGIC_TRANSACTION_SALE, MAGIC_TRANSACTION_SALE_CREDIT_NOTE.outputFormat: "XLSX" is always required — no other format is currently supported. Hardcode it.query + filter are mutually exclusive — the server returns INVALID_SEARCH_INPUT if both are provided. Pass query (structured search string, same syntax as dashboard) OR filter (raw JSON filter object), never both.INVOICE, BILL, CUSTOMER_CREDIT_NOTE, SUPPLIER_CREDIT_NOTE, SALE_PAYMENT, PURCHASE_PAYMENT, BATCH_PAYMENT, CONTACT, ITEM, CAPSULE, SCHEDULED_TRANSACTION, JOURNAL, BANK_RECORD, CASHFLOW_TRANSACTION, FIXED_ASSET, CHART_OF_ACCOUNT, TAX_PROFILE.fileUrl expires in ~5 minutes — it's a pre-signed S3 URL. Warn the user to download immediately.preview_export_records to confirm scope (count + sample rows) before calling export_records. The filterDescription field gives a human-readable summary like "2580 records | Status in: UNPAID".get_export_columns to discover available column paths and headers. Pass a columns array to select specific fields. Omit for default columns.previewRows keys are column headers — not field paths. E.g. {"Invoice Ref #": "INV-001", "Customer": "Acme"}. Use resolvedColumns to map headers back to paths.journalEntries with amount + type: "DEBIT"|"CREDIT" — NOT debit/credit number fields.currency object — same format as invoices/bills: "currency": { "sourceCurrency": "USD" } (auto-fetch platform rate) or "currency": { "sourceCurrency": "USD", "exchangeRate": 1.35 } (custom rate). Must be enabled for the org. Omit for base currency. Three restrictions apply to foreign currency journals: (a) no controlled accounts — accounts with controlFlag (AR, AP) are off-limits (use invoices/bills instead), (b) no FX accounts — FX Unrealized Gain/Loss/Rounding are system-managed, (c) bank accounts must match — can only post to bank accounts in the same currency as the journal (e.g., USD journal → USD bank account only, not SGD bank account). All other non-controlled accounts (expenses, revenue, assets, liabilities) are available.currency object is the SAME everywhere — invoices, bills, credit notes, AND journals all use currency: { sourceCurrency: "USD", exchangeRate?: number }. Never use currencyCode: "USD" (silently ignored on invoices/bills) or currency: "USD" (string — causes 400 on invoices/bills).accountResourceId at top level for the BANK account + lines array for offsets.credits array with amountApplied — not flat.paymentAmount, transactionAmount, accountResourceId, paymentMethod, valueDate, reference. The API also accepts aliases refundAmount/refundMethod (see Rule 53) but prefer canonical paymentAmount/paymentMethod for consistency.unit (e.g., "pcs"), costingMethod ("FIXED" or "WAC"), cogsResourceId, blockInsufficientDeductions, inventoryAccountResourceId. purchaseAccountResourceId MUST be Inventory-type CoA.DELETE /items/:id — not /inventory-items/:id.cashOut/cashIn sub-objects — NOT flat fromAccountResourceId/toAccountResourceId. Each: { accountResourceId, amount }.{ invoice: {...} } or { bill: {...} } — not flat. Recurrence field is repeat (NOT frequency/interval). saveAsDraft: false required. reference is required inside the invoice/bill wrapper — omitting it causes 422.schedulerEntries — not nested in journal wrapper. valueDate is required at the top level (alongside startDate, repeat, etc.).items array wrapper with name, value, categoryCode, datatypeCode.appliesTo on custom field POST — causes "Invalid request body". Only send name, type, printOnDocuments.
35a. Custom field values on transactions: Set via customFields: [{ customFieldName: "PO Number", actualValue: "PO-123" }] on invoice/bill/customer-CN/supplier-CN/payment/item/fixed-asset create/update. NOT on journals, cash entries, or cash transfers. Read from GET responses in the same shape.
35b. Custom field search: POST /custom-fields/search with filter/sort/limit/offset. Filter by customFieldName (StringExpression), datatypeCode (StringExpression: TEXT, DATE, DROPDOWN).
35c. Custom field GET: GET /custom-fields/:resourceId returns full definition including applyToSales, applyToPurchase, applyToCreditNote, applyToPayment, printOnDocuments, listOptions.35d. Tags are tags: string[] on ALL transaction create/update: invoices, bills, customer CNs, supplier CNs, journals, cash-in, cash-out, cash transfers. CLI uses --tag <name> (singular, wrapped to array). API accepts the array directly.
35e. ClassifierConfig on line items: classifierConfig: [{ resourceId: "<capsuleTypeId>", type: "invoice"|"bill", selectedClasses: [{ className: "Class A", resourceId: "<classId>" }], printable: true }]. Applies to line items on invoices, bills, credit notes, journal entries, and cash entry details. Create capsule types first via POST /capsule-types, then reference them in classifierConfig.
| Report | Required Fields |
|--------|----------------|
| Trial balance | startDate, endDate |
| Balance sheet | primarySnapshotDate |
| P&L | primarySnapshotDate, secondarySnapshotDate |
| General ledger | startDate, endDate, groupBy: "ACCOUNT" (also TRANSACTION, CAPSULE) |
| Cashflow | primaryStartDate, primaryEndDate |
| Cash balance | reportDate |
| AR/AP report | endDate |
| AR/AP summary | startDate, endDate |
| Bank balance summary | primarySnapshotDate |
| Equity movement | primarySnapshotStartDate, primarySnapshotEndDate |
| Ledger highlights | (none — simple GET) |
GET /api/v1/ledger/highlights returns org-wide GL summary metadata: transaction counts by type, date range, active accounts/currencies, cross-currency flag, and dynamic FX types. No parameters. Response dates are epoch ms (see Rule 52).
37a. Data exports use simpler field names: P&L export uses startDate/endDate (NOT primarySnapshotDate). AR/AP export uses endDate.limit/offset pagination — NOT page/size. Default limit=100, offset=0. Max limit=1000, max offset=65536. page/size params are silently ignored. Response shape: { totalPages, totalElements, truncated, data: [...] }. When truncated: true, a _meta: { fetchedRows, maxRows } field explains why (offset cap or --max-rows soft cap — default 10,000). Use --max-rows <n> to override. Always check truncated before assuming the full dataset was returned./organization-currencies/:code/rates — note the HYPHENATED path (NOT /organization/currencies). Enable currencies first via POST /organization/currencies, then set rates via POST /organization-currencies/:code/rates with body { "rate": 0.74, "rateApplicableFrom": "YYYY-MM-DD" } (see Rule 49 for direction). Cannot set rates for org base currency. Full CRUD: POST (create), GET (list), GET/:id, PUT/:id, DELETE/:id.currency object — currencyCode: "USD" (string) is silently ignored (transaction created in base currency!). Use currency: { sourceCurrency: "USD" } to auto-fetch platform rate (ECB/FRANKFURTER), or currency: { sourceCurrency: "USD", exchangeRate: 1.35 } for a custom rate. Rate hierarchy: org rate → platform/ECB → transaction-level.organizationAccountResourceId for line item accounts — POST uses accountResourceId. Request-side aliases resolve issueDate → valueDate, bankAccountResourceId → accountResourceId, etc.interval — POST uses repeat. (Response-side asymmetry remains.){ sort: { sortBy: ["valueDate"], order: "DESC" } }. Required when offset is present (even offset: 0).POST /magic/importBankStatementFromAttachment or JSON via POST /bank-records/:accountResourceId with { records: [{amount, transactionDate, description?, payerOrPayee?, reference?}] } (positive = cash-in, negative = cash-out, response: {data: {errors: []}}). Search: POST /bank-records/:accountResourceId/search — filter fields: valueDate (DateExpression), status (StringExpression: UNRECONCILED, RECONCILED, ARCHIVED, POSSIBLE_DUPLICATE), description, extContactName (payer/payee), extReference, netAmount (BigDecimalExpression), extAccountNumber. Sort by valueDate DESC default.WITHHOLDING_CODE_NOT_FOUND, strip field and retry./inventory-balances/:status, missing c.Bind) — all return 500.POST /deposits, POST /inventory/adjustments, GET /payments (list), and POST /payments/search return 404 — these endpoints are not implemented. To list/search payments, use POST /cashflow-transactions/search (the unified transaction ledger — see Rule 63).POST /:type/:id/attachments (multipart, file field, application/pdf or image/* — NOT text/plain). List: GET /:type/:id/attachments. Delete: DELETE /:type/:id/attachments/:attachmentResourceId (HTTP 200). CLI: clio attachments add --file <path> or --url <url>, clio attachments list, clio attachments delete <attachmentResourceId>. Response shape is non-standard: { reference, resourceId, attachments: [{fileName, fileType, fileId, attachmentResourceId}] } — NOT { data: [...] }. The attachment ID field is attachmentResourceId (not resourceId).rate = functionalToSource (1 base = X foreign) — POST rate: 0.74 for a SGD org means 1 SGD = 0.74 USD. If your data stores rates as "1 USD = 1.35 SGD" (sourceToFunctional), you MUST invert: rate = 1 / 1.35 = 0.74. GET confirms both: rateFunctionalToSource (what you POSTed) and rateSourceToFunctional (the inverse).POST /*/search endpoints share identical structure: { filter?, sort: { sortBy: ["field"], order: "ASC"|"DESC" }, limit: 1-1000, offset: 0-65536 }. Sort is REQUIRED when offset is present (even offset: 0). Default limit: 100. sortBy is always an array on all endpoints (no exceptions). See references/search-reference.md for per-endpoint filter/sort fields.
50a. query field — Jaz search operators — 14 endpoints accept an optional query string alongside filter: invoices, bills, customer/supplier credit notes, journals, cashflow-transactions, bank-records, contacts, items, capsules, fixed-assets, scheduled-transactions, chart-of-accounts, tax-profiles. Example: { "query": "status:unpaid AND $500+", "limit": 50 }. Key syntax: amounts ($500+, $100-500, amount:>2m, magnitude suffixes 5k/2m/1b), negative ($-500), absolute value (abs:1000+), dates (date:this month, date:-30d, due:overdue, submitted:last week, lastpayment:-7d), status/enum (status:unpaid, currency:SGD,USD — comma = OR), string fields (customer:acme, ref:INV-* wildcard, =ref:INV-001 exact, ref:/\d{4}/ regex), blank checks (ref:blank, tag:!blank), booleans (hasattachment:yes, customer:yes), negation (!status:paid or NOT status:void — never - for negation), logic (AND/OR with implicit AND on space), grouping, inline sort (sort:amount:desc). Full syntax spec (all fields, aliases, entity field lists, examples): references/search-syntax.md.
50b. query + filter merge — When both are present, they are merged at the filter level. Explicit filter keys win on conflict. Use query for human-readable shorthand, filter for programmatic precision, or combine both: { "query": "date:this year", "filter": { "currencyCode": { "in": ["SGD"] } } }.
50c. query error handling — Unknown field name → query_not_understood (400). Bad enum value (e.g. status:BADVALUE) → empty results, no error (silent miss). Unsupported endpoint → query_not_supported (400). Parser unavailable → query_parse_error (502). Empty/null/whitespace query → passthrough (ignored). In CLI/MCP: use --query / query param only on supported entities — unsupported entities have no --query flag.eq, neq, contains, in (array, max 100), likeIn (array, max 100), reg (regex array, max 100), isNull (bool). Numeric: eq, gt, gte, lt, lte, in. Date (YYYY-MM-DD): eq, gt, gte, lt, lte, between (exactly 2 values). DateTime (RFC3339): same operators, converted to epoch ms internally. Boolean: eq. JSON: jsonIn, jsonNotIn. Logical: nest with and/or/not objects, or use andGroup/orGroup arrays (invoices, bills, journals, credit notes).YYYY-MM-DD strings (all create/update and DateExpression filters). Request datetimes: RFC3339 strings (DateTimeExpression filters for createdAt, updatedAt, approvedAt, submittedAt). ALL response dates: int64 epoch milliseconds — including valueDate, createdAt, updatedAt, approvedAt, submittedAt, matchDate. Convert: new Date(epochMs).toISOString().slice(0,10). Timezone convention: ALL business dates (valueDate, dueDate, startDate, endDate, etc.) are in the organization's timezone — never UTC. The epoch ms stored in the DB represents the org-local date (no timezone conversion is ever needed). Only audit timestamps (createdAt, updatedAt, action_at) are UTC.issueDate/date → valueDate (invoices, bills, credit notes, journals). name → tagName (tags) or internalName (items). paymentDate → valueDate, bankAccountResourceId → accountResourceId (payments). paymentAmount → refundAmount, paymentMethod → refundMethod (credit note refunds). accountType → classificationType, currencyCode → currency (CoA). Canonical names always work; aliases are convenience only.{ totalElements, totalPages, data: [...] } directly (no outer data wrapper). Access the array via response.data, pagination via response.totalElements. Two exceptions: (a) GET /bank-accounts returns a plain array [{...}] (see Rule 18), (b) GET /invoices/:id returns a flat object {...} (no data wrapper) — unlike GET /bills/:id, GET /contacts/:id, GET /journals/:id which wrap in { data: {...} }. Normalize the invoice GET response before use.txnDateAliases middleware (mapping issueDate/date → valueDate) now applies to all scheduled create/update endpoints: POST/PUT /scheduled/invoices, POST/PUT /scheduled/bills, POST/PUT /scheduled/journals, POST/PUT /scheduled/subscriptions.capsuleTypes endpoints also accept kebab-case paths: /capsule-types (list, search, CRUD). moveTransactionCapsules also accepts /move-transaction-capsules. Both camelCase and kebab-case work identically.POST /magic/createBusinessTransactionFromAttachment. Do NOT manually construct a POST /invoices or POST /bills payload from an attachment — Jaz Magic handles the entire extraction-and-autofill pipeline server-side: OCR, line item detection, contact matching, CoA auto-mapping via ML learning, and draft creation with all fields pre-filled. Only use POST /invoices or POST /bills when building transactions from structured data (JSON, CSV, database rows) where the fields are already known.sourceType: "FILE" requires multipart/form-data with sourceFile blob (JSON body fails with 400 "sourceFile is a required field"). sourceType: "URL" accepts application/json with sourceURL string. The OAS only documents URL mode — FILE mode (the common case) is undocumented.sourceFile (multipart blob — NOT file), businessTransactionType ("INVOICE", "BILL", "CUSTOMER_CREDIT_NOTE", or "SUPPLIER_CREDIT_NOTE" — EXPENSE rejected), sourceType ("FILE" or "URL"). Optional: uploadMode ("SEPARATE" default, or "MERGED" for a single PDF containing multiple documents — the backend splits it via boundary detection before extraction). All required fields are validated server-side. CRITICAL: multipart form field names are camelCase — businessTransactionType, sourceType, sourceFile, uploadMode, NOT snake_case. Using business_transaction_type returns 422 "businessTransactionType is a required field". The File blob must include a filename and correct MIME type (e.g. application/pdf, image/jpeg) — bare application/octet-stream blobs are rejected with 400 "Invalid file type".
59a. MERGED upload workflow tracking — When uploadMode: "MERGED", the upload response workflowResourceId is a parent tracking ID. The backend splits the PDF, then creates child workflows for each split page — these child IDs appear in POST /magic/workflows/search (by fileName or createdAt), NOT the parent ID. To track MERGED progress, search by fileName rather than the parent workflowResourceId.INVOICE → response SALE. Request BILL → response PURCHASE. Request CUSTOMER_CREDIT_NOTE → response SALE_CREDIT_NOTE. Request SUPPLIER_CREDIT_NOTE → response PURCHASE_CREDIT_NOTE. S3 paths follow the response type. The response validFiles[] array contains workflowResourceId for tracking extraction progress via POST /magic/workflows/search.POST /magic/workflows/search with filter.resourceId.eq: "<workflowResourceId>" to check status (SUBMITTED → PROCESSING → COMPLETED/FAILED). When COMPLETED, businessTransactionDetails.businessTransactionResourceId contains the created draft BT ID. The subscriptionFBPath in the response is a Firebase Realtime Database path for real-time status updates (alternative to polling).fileType in response reflects actual format: "PDF", "JPEG".GET /invoices/magic-search and GET /bills/magic-search require a separate x-magic-api-key (not available to agents). Always use POST /invoices/search or POST /bills/search with standard x-jk-api-key auth instead.
63b. Workflow search tracks all magic uploads — POST /magic/workflows/search searches across BT extractions AND bank statement imports. Filter by resourceId (eq), documentType (SALE, PURCHASE, SALE_CREDIT_NOTE, PURCHASE_CREDIT_NOTE, BANK_STATEMENT), status (SUBMITTED, PROCESSING, COMPLETED, FAILED), fileName (contains), fileType, createdAt (date range). Response: paginated MagicWorkflowItem with businessTransactionDetails.businessTransactionResourceId (the draft BT ID when COMPLETED) or bankStatementDetails (for bank imports). Standard search sort: { sortBy: ["createdAt"], order: "DESC" }.GET /payments, POST /payments/search, and GET /payments do NOT exist. Per-payment CRUD (GET/PUT/DELETE /payments/:resourceId) exists for individual payment records, but to list or search payments, use POST /cashflow-transactions/search — the unified transaction ledger that spans invoices, bills, credit notes, journals, cash entries, and payments. Filter by businessTransactionType (e.g., SALE, PURCHASE) and direction (PAYIN, PAYOUT). Response dates are epoch milliseconds.name — NOT billingName. The filter field for searching contacts by name is name (maps to billingName internally). Sort field is also name. Using billingName in a search filter returns zero results.customer/supplier — NOT isCustomer/isSupplier. These are plain booleans on the contact object: { "customer": true, "supplier": false }. Using isCustomer or isSupplier in code will be undefined."FINALIZED", "FINAL", or "POSTED". Journals → "APPROVED". Invoices/Bills → "UNPAID" (progresses to "PAID", "OVERDUE"). Customer/Supplier Credit Notes → "UNAPPLIED" (progresses to "APPLIED"). All types support "DRAFT" and "VOIDED". When creating without saveAsDraft: true, the response status matches the type's finalized status.{ resourceId: "..." } (plus a few metadata fields). They do NOT return the full entity. To verify field values after creation, you MUST do a subsequent GET /:type/:resourceId. Never assert on field values from a create response.amountDue field — Invoices and bills do NOT have an amountDue field. To check if a transaction is fully paid, inspect the paymentRecords array: if paymentRecords.length > 0, payments exist. Compare totalAmount with the sum of paymentRecords[].transactionAmount to determine remaining balance.YYYY-MM-DD, response dates are epoch milliseconds (see Rule 52). When comparing dates from responses, always convert with new Date(epochMs).toISOString().slice(0, 10) — never string-match against the raw epoch value. Remember: business dates are org-timezone (see Rule 52).saleItemName/purchaseItemName — When creating items with appliesToSale: true or appliesToPurchase: true, you MUST include saleItemName and/or purchaseItemName respectively. These are the display names shown on sale/purchase documents. Omitting them causes 422: "saleItemName is a required field". If not specified, default to the internalName value.itemCode + internalName — Even for partial updates, PUT /items/:id requires both itemCode and internalName in the body. Omitting either causes 422. Use read-modify-write pattern: GET current item, merge your updates, PUT the full payload. Clio handles this automatically.resourceId + capsuleTypeResourceId — Even for partial updates, PUT /capsules/:id requires resourceId and capsuleTypeResourceId in the body. Omitting either causes 422 or "Capsule type not found". Use read-modify-write pattern: GET current capsule, merge updates, PUT full payload. Clio handles this automatically.parentEntityResourceId — The resourceId in the POST response ({ data: { resourceId: "X" } }) is the journal header's parentEntityResourceId. This ID is used for DELETE (DELETE /cash-entries/X). But it is NOT the same ID used for GET (GET /cash-in-entries/:id). GET expects the cashflow-transaction resourceId from the LIST response. Three different IDs exist per cash entry: parentEntityResourceId (from CREATE + in LIST), resourceId (cashflow-transaction ID, from LIST — use for GET), businessTransactionResourceId (underlying journal ID — do NOT use for anything).transactionReference (NOT reference), transactionStatus (NOT status — values: ACTIVE/VOID), valueDate is epoch ms (NOT ISO string), no journalEntries array, has direction (PAYIN/PAYOUT), has nested account object with bank name, has businessTransactionType (JOURNAL_DIRECT_CASH_IN/JOURNAL_DIRECT_CASH_OUT/JOURNAL_CASH_TRANSFER)./cashflow-transactions/search — Filter by businessTransactionType: { eq: "JOURNAL_DIRECT_CASH_IN" } (or JOURNAL_DIRECT_CASH_OUT or JOURNAL_CASH_TRANSFER). Other useful filters: organizationAccountResourceId (bank account), businessTransactionReference (reference), valueDate (date range). The search endpoint is shared across all cashflow transaction types./cash-entries/:id — NOT the individual resource paths. The ID used is the parentEntityResourceId (= the resourceId returned by CREATE). This is a shared endpoint for all cash entry types (cash-in, cash-out, cash-transfer).--contact, --account, and --bank-account accept names — any CLI flag that takes a contact, chart of accounts entry, or bank account accepts EITHER a UUID resourceId OR a fuzzy name. Examples: --contact "ACME Corp", --account "DBS Operating", --bank-account "Business". The CLI auto-resolves to the best match (strict thresholds) and shows the resolved entity on stderr. UUIDs are passed through without API calls. If the match is ambiguous, the CLI errors with a list of candidates — never silently picks the wrong entity.capsule-transaction recipes auto-resolve accounts — when --input is omitted, the CLI searches the org's chart of accounts for each blueprint account name (e.g., "Interest Expense", "Loan Payable"). If all accounts resolve with high confidence, no JSON mapping file is needed. If any fail, the error message shows exactly which accounts could not be found and suggests close matches. --contact and --bank-account on recipes also accept names.--method — for BANK_TRANSFER, CASH, and CHEQUE, the --account resolver filters to bank/cash accounts only. For other payment methods, all account types are considered.The clio bills draft subcommand group enables the full "review → fill missing → convert" workflow that mirrors the Jaz UI's "Convert and Next" button. Designed for AI agents processing a queue of draft bills.
| Command | Purpose |
|---------|---------|
| clio bills draft list [--ids <ids>] [--json] | Queue view: all drafts with per-field validation + attachment count |
| clio bills draft finalize <id> [flags] [--json] | Fill missing fields + convert DRAFT → UNPAID in one PUT |
| clio bills draft attachments <id> [--json] | List attachments with download URLs for agent inspection |
| Field | JSON Path | CLI Flag | Resolver |
|-------|-----------|----------|----------|
| Contact | contactResourceId | --contact <name/UUID> | Fuzzy resolved |
| Bill date | valueDate | --date <YYYY-MM-DD> | Literal |
| Due date | dueDate | --due <YYYY-MM-DD> | Literal |
| Line items | lineItems (non-empty) | --lines <json> | — |
| Item name | lineItems[i].name | via --lines | — |
| Item price | lineItems[i].unitPrice | via --lines | — |
| Item account | lineItems[i].accountResourceId | --account <name/UUID> (bulk) | Fuzzy resolved |
Optional: --ref, --notes, --tag, --tax-profile <name/UUID> (bulk, fuzzy resolved), --tax, --tax-inclusive, --dry-run, --input <file>.
Step 1: clio bills draft list --json
→ Batch queue: every DRAFT with per-field validation + attachment count
Step 2: For each draft where ready = false:
a) Read validation.missingFields from Step 1 output
b) Optional: clio bills draft attachments <id> --json
→ Download fileUrl, read PDF/image, extract or verify values
c) Resolve values (ask user, or infer from attachment + context)
d) clio bills draft finalize <id> --contact "Acme" --date 2025-01-15 ... --json
→ Updates + converts to UNPAID in one PUT (Rule 67: bills/invoices → UNPAID, journals → APPROVED)
Step 3: For each draft where ready = true:
clio bills draft finalize <id> --json
→ Converts directly (all mandatory fields already present)
--account bulk patches line items — when used with clio bills draft finalize, --account resolves the name to a UUID then sets accountResourceId on EVERY line item where it's currently null. Existing accounts are NOT overwritten. Same for --tax-profile. --lines takes priority (full replacement).--dry-run validates without modifying — returns the same validation structure as draft list (per-field status/hint), so agents can preview what would happen before committing. No API write occurs.updateBill() with saveAsDraft: false transitions DRAFT → UNPAID (per Rule 67) and updates all fields in one call. No delete-and-recreate. The CLI handles all field normalization automatically (date format, line item sanitization, account field name mapping).draft list includes attachmentCount per draft (from GET /bills/:id/attachments). Use draft attachments <id> for full details including fileUrl download links.resourceId — The UpdateBill PUT endpoint requires resourceId in the body (in addition to the URL path). Dates must be YYYY-MM-DD (not ISO with time). taxInclusion is boolean (true/false), not string. Line items must use accountResourceId (not organizationAccountResourceId from GET).organizationAccountResourceId on line items; PUT requires accountResourceId. GET returns dates as 2026-02-27T00:00:00Z; PUT requires 2026-02-27. GET returns taxProfile: { resourceId } object; PUT requires taxProfileResourceId string. The CLI draft finalize command normalizes all of these automatically.POST /magic/workflows/search endpoint may return a workflow with status: null right after POST /magic/create-from-attachment. Allow 2-3 seconds before polling, or default to SUBMITTED. The CLI magic status command defaults null status to SUBMITTED.accountResourceId on all line items — When saveAsDraft: false (or using --finalize), every lineItems[i].accountResourceId must be set. Omitting it causes 422: "lineItems[0].accountResourceId is required if [saveAsDraft] is false". The CLI validates this pre-flight.Bills, invoices, and credit notes share identical mandatory field specs. Adding clio invoices draft or clio customer-credit-notes draft later reuses all validation, formatting, and CLI flag logic from draft-helpers.ts — only the API calls differ.
GET /bank-rules/:id returns { data: { data: [...], totalElements, totalPages } } (double data wrapper). Unlike standard GET /:type/:id which returns { data: {...} }. The inner data is an array containing the single rule. Unwrap with response.data.data[0]. Field asymmetry: Request uses appliesToReconciliationAccount (string UUID), response returns it as an object { code, currencyCode, name }./bank-rules/search — Standard search pattern with filter/sort/limit/offset. Filter fields: appliesToReconciliationAccount, name, reference, resourceId, actionType, businessTransactionType. Sort fields: resourceId, name, actionType, businessTransactionType, reference, appliesToReconciliationAccount, createdAt.
90a. Bank rules create field is appliesToReconciliationAccount (NOT appliesToReconciliationAccountResourceId) — the bank account UUID. configuration must nest under reconcileWithDirectCashEntry key. configuration.reconcileWithDirectCashEntry.reference is REQUIRED (omitting causes GENERAL_ERROR). amountAllocationType: use "PERCENTAGE" or "FIXED" — "FIXED_AND_PERCENTAGE" is read-only (include both fixedAllocation + percentageAllocation arrays and the server infers it). Optional config fields: contactResourceId, internalNotes, tags, currencySettings, taxCurrencySettings, classifierConfig on allocation lines.
90b. Bank rules PUT is FULL REPLACEMENT — PUT /bank-rules/:id replaces the entire rule. Must send resourceId, appliesToReconciliationAccount, and full configuration every time. Omitting any required field causes GENERAL_ERROR. Use read-modify-write pattern: GET current rule, merge changes, PUT full payload. Same pattern as items PUT (Rule 72) and capsules PUT (Rule 73).createdAt sort — Valid sort fields: resourceId, name, purchaseDate, typeName, purchaseAmount, bookValueNetBookValueAmount, depreciationMethod, status. Using createdAt returns 422. Default to purchaseDate DESC.POST /discard-fixed-assets/:id (body includes resourceId + dates). Mark sold: POST /mark-as-sold/fixed-assets (body-only, no path param). Transfer: POST /transfer-fixed-assets (body-only). Undo: POST /undo-disposal/fixed-assets/:id.
92a. Two ways to register fixed assets — (1) Create (POST /fixed-assets): for assets purchased via a bill or journal already in the system. ACTIVE assets require purchaseBusinessTransactionType (PURCHASE or JOURNAL_MANUAL) and purchaseBusinessTransactionResourceId. (2) Transfer (POST /transfer-fixed-assets): for pre-existing assets purchased before using Jaz or outside the system. Accepts bookValueAccumulatedDepreciationAmount for depreciation already incurred. No linked transaction needed.
92b. saveAsDraft defaults to true — To create an ACTIVE fixed asset, pass saveAsDraft: false with ALL required fields: name, category, typeCode, purchaseAmount, purchaseDate, purchaseAssetAccountResourceId, depreciationMethod, effectiveLife, and for STRAIGHT_LINE: depreciationStartDate, accumulatedDepreciationAccountResourceId, depreciationExpenseAccountResourceId. Omitting any returns 422.
92c. Valid enums — depreciationMethod: STRAIGHT_LINE, NO_DEPRECIATION. category: TANGIBLE, INTANGIBLE. Optional string fields (purchaseBusinessTransactionResourceId, accumulatedDepreciationAccountResourceId, capsuleResourceId) can be safely omitted — the API ignores empty values./scheduled/subscriptions — List, GET, POST, PUT, DELETE all at /api/v1/scheduled/subscriptions[/:id]. Cancel is PUT (not POST) at /api/v1/scheduled/cancel-subscriptions/:id (different path pattern). Subscriptions are invoices only (SALE) — no bills. Different from scheduled invoices: subscriptions auto-prorate partial periods (generate credit notes for mid-period changes), but currency/tax/account are immutable after creation. Use scheduled invoices for fixed-amount recurring invoices where you need per-occurrence flexibility. All subscription CRUD requires proratedConfig: { proratedAdjustmentLineText: string } — Clio auto-injects this; do not add manually. repeat is required on POST (valid: ONE_TIME, DAILY, WEEKLY, MONTHLY, YEARLY) — Clio maps from the interval parameter. Cancel requires cancelDateType (END_OF_CURRENT_PERIOD, END_OF_LAST_PERIOD, CUSTOM_DATE) + proratedAdjustmentLineText + resourceId in body. Must cancel before delete. businessTransactionType is NOT in the OAS — the API ignores it.createdAt sort — POST /scheduled-transaction/search sort fields: startDate, nextScheduleDate, etc. Default to startDate DESC. This is a cross-entity search across all scheduled types (invoices, bills, journals, subscriptions). Filter by businessTransactionType (SALE, PURCHASE, JOURNAL) and/or schedulerType (RECURRING, SUBSCRIPTION) to narrow results.query param (NOT q) — GET /search?query=<term> returns categorized results across contacts, invoices, bills, credit notes, journals. Response is a flat object with category keys, each containing an array of matches. No pagination — returns top matches per category.associatedContacts array — Each group contains { name, resourceId, associatedContacts: [{ name, resourceId }] }. Search via POST /contact-groups/search. Known bug: PUT returns 500 (Rule 46).GET /inventory-item-balance/:itemResourceId — Returns { itemResourceId, latestAverageCostAmount, baseQty, baseUnit }. Note: this is the ITEM resourceId, not an inventory-specific ID. The /inventory-balances/:status endpoint returns 500 (Rule 46).GET /withholding-tax-codes — Returns a flat array of 1,360+ entries (PH PSIC codes). Each entry: { code, description, taxRate, ... }. No pagination — full list in one call. Use for PH/SG tax compliance.name (NOT billingName), Items on itemCode, Accounts on name, Tax Profiles on name. Agent tools auto-search before creating — if a match is found, the existing entity is returned instead of hitting a 422.appliesToSale/appliesToPurchase scope — A sales-only tax profile used on a bill causes 422. Always filter by transaction type when selecting: search_tax_profiles accepts appliesTo param (sale, purchase, sale_credit_note, purchase_credit_note). Invoices → sale, Bills → purchase.accountResourceId + resourceId — PUT /cash-in-entries/:id and PUT /cash-out-entries/:id require both accountResourceId (bank account) and resourceId in the body. Omitting accountResourceId causes 500. accountEntryResourceId is optional (auto-populated).accountResourceId must be a Bank Accounts type — Using expense, revenue, or other non-bank accounts causes 422 CASH_OUT_ACCOUNT_TYPE_NOT_ALLOWED (or equivalent for cash-in). Use list_bank_accounts or search_accounts with accountType: "Bank Accounts" to find valid accounts.reference that already exists causes 422 Sale Reference already exists (or Purchase Reference). Generate unique references with timestamps (e.g., INV-20260309-1430) when the user doesn't specify one.add_currency_rate for new rates, update_currency_rate only for editing existing records — When a user says "update the rate" or "set the rate", use add_currency_rate (POST — creates a new rate entry for a date). Only use update_currency_rate (PUT) when explicitly modifying an existing rate record by its resourceId.email (string), not emails (array) — GET returns emails: [{email, label}] (array) but PUT accepts email: "[email protected]" (string). Sending the emails array in PUT body causes 400 "Invalid request body". The CLI and tool executor handle this automatically via read-modify-write with the correct field.POST /api/v1/quick-fix/{entity} with { resourceIds: [...], attributes: {...} }. Only included fields are changed — omitted fields are left unchanged. Response: { updated: string[], failed: [{ resourceId, error, errorCode }] }. HTTP status codes: 200 = complete success (failed always empty). 207 Multi-Status = partial or total failure with per-item detail (same response shape as 200 — check failed array). 422 = total failure with no per-item breakdown (rare). On 207, retry only failed resourceIds. Entities: ARAP: invoices, bills, customer-credit-notes, supplier-credit-notes. Accounting: journals, cash-entries. Schedulers: sale-schedules, purchase-schedules, subscription-schedules, journal-schedules. Line-item request patterns: ARAP + accounting use { lineItemResourceIds, attributes }. Schedulers (sale/purchase/subscription) use Pattern C: { schedulerUpdates: [{ schedulerResourceId, lineItemUpdates: [{ arrayIndex, ...attrs }] }] }. Journal-schedules use Pattern D: lineItemResourceId (UUID) instead of arrayIndex. Field gotchas: cash entries use currencySetting (singular: { rateFunctionalToSource, exchangeToken }), NOT currencySettings. Journal schedules have startDate in addition to endDate/interval. Tags: string array, max 50 items, max 50 chars each.POST /api/v1/transfer-trial-balance) creates opening balance entries. Uses journalEntries (NOT lines — this is a journal type). Always ACTIVE (no draft mode), reference auto-generated as "Transfer Trial Balance", minimum 1 entry, entries cannot have 0 amounts, skips lock date validation. valueDate must be today or in the past — future dates are rejected with "Opening data cannot be future date". Each entry: { accountResourceId, type: "DEBIT"|"CREDIT", amount }.reference, line item name, notes). Strings are replaced with values relative to the transaction date: {{Day}} → day name (Monday), {{Date}} → full date (09 Mar 2026), {{Date+X}} → date + X days, {{DateRange:X}} → date range spanning X days (min 1, max 999), {{Month}} → month name (March), {{Month+X}} → month + X months, {{MonthRange:X}} → month range spanning X months, {{Year}} → year (2026), {{Year+X}} → year + X years. Example: reference: "INV-{{Month}}-{{Year}}" → "INV-March-2026" for a March transaction.name, reference, cash entry description). Strings are replaced with actual bank record values during reconciliation: {{bankReference}} → bank record reference (e.g., INV-03/01/2025-01), {{bankPayee}} → payer/payee name (e.g., Fruit Planet), {{bankDescription}} → transaction description (e.g., QR Payment). Example: reference: "{{bankPayee}} - {{bankReference}}".tags (string array) — e.g., "tags": ["Q1"] — The attributes object in quick-fix transaction endpoints accepts tags as a string array (e.g., "tags": ["Q1"]). tag (singular) is silently ignored. This matches the tags array format used on create/update for all transaction types. The CLI --tag flag auto-wraps to tags: [name].GET /invoices/:id/payments and GET /bills/:id/payments return [{paymentRecord}, ...] — NOT {data: [...]}. Same for GET /invoices/:id/credits and GET /bills/:id/credits. The CLI wraps these into {data: [...]} for consistency. DELETE /invoices/:id/credits/:creditsAppliedResourceId reverses a credit application.classes: string[] (NOT classNames or [{className}]). printable: boolean is required — defaults to false (most classifiers are not printable). GET single is double-wrapped: {data: {data: [...], totalElements, totalPages}} — extract the first element from the inner paginated response. GET/LIST response returns classes as [{className, resourceId}] (objects), while CREATE accepts plain string[].interval, not repeat — POST/PUT uses repeat field (values: WEEKLY, MONTHLY, QUARTERLY, YEARLY). GET response returns interval field (same values). PUT accepts the full transaction template (invoice, bill, or journal entries at top level), not just schedule metadata — same structure as POST.Payment record CRUD — GET /payments/:resourceId returns {data: PaymentRecord} (wrapped). Payment resourceIds come from invoice/bill GET response → paymentRecords[].resourceId. Cashflow transaction IDs ≠ payment IDs — don't mix them. POST /cashflow-transactions/search returns cashflow IDs, while payment CRUD uses separate payment IDs from the parent document.
PaymentMethod accepts 11 values — All payment endpoints (invoices, bills, credit note refunds, payment updates) accept: CASH, BANK_TRANSFER, CREDIT_CARD, CHEQUE, E_WALLET, WITHHOLDING_TAX_CERTIFICATE, CLEARING_SETTLEMENT, DEBT_WRITE_OFF, INTER_COMPANY, OTHER, PAYMENT_GATEWAY. Default is BANK_TRANSFER. The OAS previously listed only 7 — the API runtime already accepted all 11.
Fixed asset sale accepts PURCHASE type — saleBusinessTransactionType in mark-as-sold accepts SALE, PURCHASE, or JOURNAL_MANUAL. Use PURCHASE when the disposal is linked to a purchase-side transaction (e.g., trade-in).
For detailed reference, read these files in this skill directory:
clio help-center / clio hc)For product questions (how-to, feature behavior, troubleshooting), use clio help-center instead of reading raw help-center-mirror files:
clio help-center "how to apply credit note" # search help center
clio help-center "bank recon" --limit 3 # limit results
clio help-center "scheduled invoices" --section invoices # filter by section
Supports --json for structured output. 186 articles across 20 sections. Automatically uses hybrid search (embeddings + keyword) when available, falls back to keyword + synonym expansion offline.
When to use clio help-center vs reading raw files:
clio help-center when you need specific answers (returns only relevant articles, saves context)help-center-mirror/*.md directly only when you need to scan an entire section comprehensivelyPOST /magic/createBusinessTransactionFromAttachment). Never manually parse a PDF/JPG to construct POST /invoices or POST /bills — let the extraction & autofill pipeline handle it.POST /invoices or POST /bills directly with the known field values.model_dump(mode="json", by_alias=True, exclude_unset=True, exclude_none=True)date type → YYYY-MM-DD stringsPOST /bills/{id}/payments also works.POST /bank-records/:id or multipart POST /magic/importBankStatementFromAttachment. Search via POST /bank-records/:id/search with filters (valueDate, status, description, extContactName, netAmount, extReference).{ status, startDate, endDate, repeat, invoice/bill: { reference, valueDate, dueDate, contactResourceId, lineItems, saveAsDraft: false } }. reference is required.{ status, startDate, endDate, repeat, valueDate, schedulerEntries, reference }. valueDate is required.currency: { sourceCurrency: "USD" } (auto-fetches platform rate) or currency: { sourceCurrency: "USD", exchangeRate: 1.35 } (custom rate). Same object form on all transaction types. Never use currencyCode string — silently ignored.tools
Use this skill whenever an accounting practitioner is doing client work in Jaz — closing the books, filing GST, year-end statutory, onboarding a new client. Covers the practitioner workspace at ~/Documents/Jaz Practice (clients/<slug>/CLIENT.md and engagements/<slug>/ENGAGEMENT.md), engagement routing (monthly-close | quarterly-gst | annual-statutory | onboarding | adhoc), and how the agent loads client context before invoking jaz-jobs blueprints, jaz-recipes recipes, and jaz-api tools. Triggers on intent like "close the books for X", "file GST for Y", "onboard new client Z", "what's outstanding for Acme this month". Pair with jaz-jobs (workflow blueprints), jaz-recipes (IFRS recipes + calculators), jaz-api (REST gotchas), and jaz-conversion (data migration during onboarding).
tools
Use this skill when answering ad-hoc data questions that aren't covered by download_export (canonical reports — anomaly, audit, aging, P&L, BS, GL, statement of account) or search_* tools (entity listings with structured filters). Pseudo-SQL is a read-only DSL against Jaz's curated reporting schema — single SELECT statement, ≤100 row sync preview or full async CSV export. Tools: get_pseudo_sql_schema (call FIRST — returns live catalog + downloadable jaz-pseudo-sql.md skill body), preview_pseudo_sql, export_pseudo_sql, get_pseudo_sql_export, run_pseudo_sql_and_download.
tools
Use this skill when answering ad-hoc data questions that aren't covered by download_export (canonical reports — anomaly, audit, aging, P&L, BS, GL, statement of account) or search_* tools (entity listings with structured filters). Pseudo-SQL is a read-only DSL against Jaz's curated reporting schema — single SELECT statement, ≤100 row sync preview or full async CSV export. Tools: get_pseudo_sql_schema (call FIRST — returns live catalog + downloadable jaz-pseudo-sql.md skill body), preview_pseudo_sql, export_pseudo_sql, get_pseudo_sql_export, run_pseudo_sql_and_download.
tools
Use this skill whenever an accounting practitioner is doing client work in Jaz — closing the books, filing GST, year-end statutory, onboarding a new client. Covers the practitioner workspace at ~/Documents/Jaz Practice (clients/<slug>/CLIENT.md and engagements/<slug>/ENGAGEMENT.md), engagement routing (monthly-close | quarterly-gst | annual-statutory | onboarding | adhoc), and how the agent loads client context before invoking jaz-jobs blueprints, jaz-recipes recipes, and jaz-api tools. Triggers on intent like "close the books for X", "file GST for Y", "onboard new client Z", "what's outstanding for Acme this month". Pair with jaz-jobs (workflow blueprints), jaz-recipes (IFRS recipes + calculators), jaz-api (REST gotchas), and jaz-conversion (data migration during onboarding).