← zovo.one

INDIVIDUAL MCP TOOL

deposit_statement_pdf

Call this tool to render one client's A4 deposit statement and return a download link valid for one hour.

zovo.onenone authenticationAvailability not checked

LIVE ENDPOINT

https://mcp.zovo.one/mcp/deposits-retainer

No auth detected

Connect to this endpoint to inspect the live schema for deposit_statement_pdf and invoke it with your own arguments.

Indexed input schema

{}

Risk classification

Inferred read-only · medium confidence · heuristic, not a guarantee.

  • A tool name or description suggests retrieving external content.

Parent server

zovo.one

CONNECT WITH APPROVAL

Client installation

Review this server and its permissions before adding it. Secret placeholders must be set locally.

Codex

~/.codex/config.toml

[mcp_servers.mcp-deposits]
url = "https://mcp.zovo.one/mcp/deposits-retainer"
enabled = true
Claude Code

.mcp.json

{
  "mcpServers": {
    "mcp-deposits": {
      "type": "http",
      "url": "https://mcp.zovo.one/mcp/deposits-retainer"
    }
  }
}
Claude Desktop

Settings → Connectors → Add custom connector

Name: mcp-deposits
Remote MCP URL: https://mcp.zovo.one/mcp/deposits-retainer

Add this remote URL as a custom connector in Claude Desktop. Availability depends on the user plan and workspace policy.

Cursor

.cursor/mcp.json

{
  "mcpServers": {
    "mcp-deposits": {
      "url": "https://mcp.zovo.one/mcp/deposits-retainer"
    }
  }
}
Visual Studio Code

.vscode/mcp.json

Add to Visual Studio Code
{
  "servers": {
    "mcp-deposits": {
      "type": "http",
      "url": "https://mcp.zovo.one/mcp/deposits-retainer"
    }
  }
}
Generic MCP

Client-specific MCP configuration

{
  "name": "mcp-deposits",
  "transport": "streamable-http",
  "url": "https://mcp.zovo.one/mcp/deposits-retainer"
}
MCP Inspector

Run the official MCP Inspector locally and enter the indexed Streamable HTTP endpoint.

Related tools

  • deposit_record — Record a security or retainer deposit received from a client, in minor units, with its currency, the date it arrived and the bank reference.
  • deposit_list — List deposits newest first: DEP number, client, kind, date, reference and what was received, applied, refunded and still held, with the same four totalled per currency.
  • deposit_apply — Apply part of a held deposit to one invoice: it records that amount as a PAYMENT through the invoice server.
  • deposit_refund — Give part or all of a held deposit back to the client, with the date and how it was sent.
  • deposit_delete — Delete a deposit that never moved money, freeing that month's free-tier slot.
  • deposit_balance — Answer "how much of theirs am I holding?
  • deposit_statement_text — Turn one client's deposits into a plain-text statement to paste into an email: every movement in date order and the closing balance held.
  • deposits_report — The deposit book at a date: held per currency, received, applied and refunded, the oldest holdings with days held, and every deposit older than N days with nothing applied.