Topics
Every AgentBooks landing page for the AI-agent economy. Pick a topic to read the deep dive, or skim them all.
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Agent Audit Trail
An agent audit trail is an append-only, hash-chained log of every agent decision, prompt, and ledger mutation — so every dollar can be traced back to the exact reasoning that spent it.
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Agent Chart of Accounts
The agent chart of accounts ships pre-mapped for AI revenue, token COGS, model fees, and rail-specific clearing — so an agent is posting to the right accounts from transaction one.
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Agent Invoicing
Agent invoicing lets AI agents send branded invoices, accept ACH and card payment, and reconcile every receipt against the ledger — with no human chasing payments.
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Agent Payment Ledger
An agent payment ledger is the double-entry bookkeeping layer AI agents need to track every autonomous payment across Stripe, L402, and Lightning — compliant by default.
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Agent Reconciliation
Agent reconciliation matches every agent transaction across Stripe, Lightning, L402, and ACH against the ledger in real time, surfacing unmatched items before they become write-offs.
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Agent Tax Deductible
Agent tax deductible classification tells you which AI agent expenses qualify as deductions, which are partial, and which are non-deductible — with Schedule C and 162 line mappings applied at ingest.
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AI Bookkeeping API
The AI bookkeeping API delivers full double-entry bookkeeping — chart of accounts, journal entries, trial balance, P&L — over REST, so agents ship books without ever opening a dashboard.
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Expense Categorization
Agent expense categorization classifies every AI agent spend the moment it is posted, mapping raw payment events to the right chart-of-accounts bucket without batch jobs or human review.
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Lightning Agent Ledger
A Lightning agent ledger turns every LN invoice, channel payment, and routing fee into a balanced journal entry — so agent-to-agent micropayments settle on-chain and on the books at the same instant.
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Multi-Agent Ledger
A multi-agent ledger gives every sub-agent in a fleet its own books while consolidating into one shared chart of accounts, so parent agents see real-time P&L across the whole team.
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Stripe Agent Accounting
Stripe agent accounting wraps Stripe Connect balances, payouts, and fees in a balanced double-entry ledger, so every Stripe event becomes a posted journal entry rather than a dashboard to reconcile.
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Tax Compliance
Agent tax compliance keeps every AI agent transaction 1099-ready and IRS-reportable from the first API call, with W-9 collection, withholding, and quarterly filings baked into the ledger.