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banking-intelligence

Cross-border payment & banking intelligence for AI agents: SWIFT/BIC, IBAN, sanctions, FX, tracking.

Tools 34
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Last checked 20h ago

Tools & capabilities

34 tools

Read from the running server on 20h ago.

bank_holidays yearcountry_code*
Get bank/public holidays for a country with payment impact analysis. Returns all public holidays plus a 'payment_impact' section that shows: - Whether today is a business day or h…
banks_using_correspondent pageapi_keycountry*currency*name_prefixcorrespondent_swift*
Reverse SSI lookup — find banks that use a given correspondent for a currency. Given a correspondent BIC, currency, and origin country, returns the banks in that country that have…
company_registries
EXPERIMENTAL — List available company registries and supported jurisdictions. Returns the list of company registries that can be searched, along with the jurisdiction codes you ca…
company_search_company name*api_keyjurisdictions*include_officersinclude_only_activeinclude_shareholders +1
EXPERIMENTAL — Search company registries for a company with its officers and shareholders. Find company registrations across worldwide registries, including directors, officers, a…
company_search_person name*api_keyjurisdictions*include_inactive_rolesinclude_sanctions_check
EXPERIMENTAL — Search company registries for a person's directorships, officer roles, and shareholdings. Searches worldwide company registries to find where a person holds directo…
company_search_result api_keysearch_id*
EXPERIMENTAL — Retrieve cached company search results by search ID. Every company_search_person and company_search_company call returns a search_id. Use this tool to retrieve thos…
country_banking_rules country_code*
Get banking rules and requirements for a country. Returns IBAN requirements, SEPA membership, FATF listing status, national currency, account format specifications, and country-sp…
country_export_controls country_code*jurisdiction
Look up export control restrictions for a specific country. Returns embargo status, sanctioned programs, control reasons, and restriction details across jurisdictions (US EAR, EU,…
country_payment_codes searchcode_type*country_code*
Look up country-specific payment codes (KNP, purpose codes, etc.). Use country_banking_rules first to see which code types a country requires (in the payment_requirements block),…
eccn_lookup eccn*
Look up an Export Control Classification Number (ECCN). Pure reference tool — returns classification details, controlled jurisdictions, and license requirements for the given ECCN…
export_controls_screen eccnhs_codejurisdictiongoods_descriptiondestination_country*
Screen goods for export-control restrictions to a destination country. Combines the goods classification with the destination's restriction status and returns whether a license is…
federal_register_changes dayslimitagencycategoryseverity
Get recent US regulatory changes from BIS and OFAC. Returns Federal Register publications including entity list updates, rule changes, country policy shifts, and new sanctions pro…
fx_rate base*target*
Get the latest available reference (mid-market) exchange rate for a pair. Rates are the official ECB euro foreign-exchange reference rates where the ECB publishes the currency; pa…
fx_rate_history base*daystarget*
Get the historical reference exchange-rate series for a currency pair. Returns `series` (the daily rates) plus the metadata needed to describe it honestly. READ `series_coverage`…
fx_timing_advisor currency
Get FX trading windows for FX execution timing and spread / rate optimization. Returns market sessions and liquidity windows for a currency. Use this to understand: - **Rate optim…
fx_volatility base*target*horizon_days
Get realized FX volatility for a currency pair, and size the FX risk on an exposure held to a future date. Computes 30-day and 90-day annualized volatility from historical ECB ref…
goods_classify hs_codelanguagedescription*
Classify goods for export control from a description (or HS code). Bilingual (English / Russian, auto-detected) goods classifier. Returns the best-matching HS code (with EN+RU des…
gpi_status_codes code
Explain SWIFT GPI tracking status codes and provide stuck-payment investigation guidance. USE THIS TOOL FIRST whenever the user reports a payment that is stuck, delayed, not arriv…
hs_code_lookup hs_code*jurisdiction
Reverse-lookup an HS code → mapped export-control classifications (ECCNs). For customs brokers / shippers who have an HS (Harmonized System) code and need to know which export-con…
iban_validate iban*
Validate an IBAN and identify the institution that holds the account. Performs format check, country-specific length check, and ISO 7064 mod-97 checksum verification. Also returns…
is_business_day_check check_date*country_code*
Check if a specific date is a business day in a country. Accounts for weekends (country-specific) and public holidays. Returns whether the date is a business day, and if not, why…
mcp_register email*accept_terms*organization_name*
Register for an Ohmyfin API key to use paid tools. Creates an account and sends a 6-digit verification code to your email. After receiving the code, call mcp_verify to complete re…
mcp_verify code*email*
Verify your email and receive your API key. After calling mcp_register, check your email for the 6-digit code and pass it here. On success, returns your production and test API ke…
payment_cutoff_times systemcurrency
Get payment system cutoff times for major clearing systems. Covers RTGS (T2 — formerly TARGET2, CHAPS, Fedwire, BOJ-NET, SIC), net settlement (CHIPS, BACS), SEPA schemes (SCT, SCT…
payment_method_compare dest_country*source_country*
Compare payment methods and investigate fee deductions for a country pair. Evaluates SEPA vs SWIFT vs domestic options. Also explains SWIFT charge options (OUR/SHA/BEN) and fee in…
sanctions_screen name*api_keythresholdsubject_type
Screen a name against global sanctions and watchlists. FREE TIER: 3 screens per day without an API key. PAID: Unlimited screens with an API key. Checks the name against 300+ sanc…
settlement_eta uetramountapi_keycurrencysender_bicreceiver_bic +6
BETA. Estimate when a SWIFT payment will arrive: a corpus-grounded arrival window with an honest tail, computed from real completed payments we have tracked, projected onto the cur…
ssi_lookup swift*api_keycurrency*
Look up correspondent banking / settlement instructions (SSI) for a bank. Returns the correspondent banks (nostro accounts) that a given bank uses to settle payments in a specific…
swift_lookup limitquery*country
Search banks and financial institutions by name, SWIFT/BIC code, or country. Covers both SWIFT-connected banks and non-SWIFT financial institutions (e-money issuers, payment proce…
swift_message_reference message_type
Look up SWIFT message types — MT (FIN) and MX (ISO 20022). Pass a specific type to get full details, or omit to list all types. Covers customer payments (MT103, pacs.008), FI tran…
tracking_history uetrapi_keyreference
Show how a SWIFT payment's tracking results changed over time. Returns the DISTINCT tracking results recorded for a payment (by UETR or reference), deduplicated so ten identical r…
track_payment date*uetramount*api_keycurrency*reference
Track a SWIFT payment by UETR or reference number. Basic SWIFT payment tracking enriched by data from certain banks in the correspondent chain. Returns the overall payment status…
transfer_cost amount*api_keychannelcurrency*bank_swift*charge_type +4
BETA. Estimate what a cross-border payment will COST, split by WHO PAYS: the sending bank's published fee (the sender's side), what correspondents deduct in transit and what the be…
value_date from_datedest_country*base_currencysource_country*settlement_typetarget_currency
Calculate the value/settlement date for a payment. Determines when a payment will settle based on: - Source and destination country holiday calendars - Weekend conventions (Sat/Su…