- Per-invoice entries posted on LN payment settlement, not on chain confirmation
- Channel open, close, and rebalance events tracked as ledger transactions
- Routing fee income and expense captured per channel and per peer
- Dual-denomination entries: sats at native precision plus fiat at locked FX
- On-chain receive/send flows bridged to LN entries with no manual bridge file
- Liquidity dashboard: per-channel inbound/outbound capacity surfaced via REST
- Year-end sat-cost basis exportable for tax filings in any jurisdiction
Lightning Agent Ledger: Double-Entry Books for LN-Powered AI Agents
Lightning moves satoshis in milliseconds, but most teams still reconcile Lightning in a spreadsheet at month-end. A Lightning agent ledger ingests every LN invoice, HTLC settlement, and routing fee as a balanced journal entry the moment the payment clears, denominated in both sats and your fiat reporting currency. Channel opens, closes, and rebalances each get their own account so liquidity is auditable, not mysterious.
Account for Lightning agent payments
AgentBooks is a double-entry ledger API built for autonomous systems. Join the waitlist for early access.
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