Freshness before conclusions
The agent can check provider sync state before treating missing or delayed imports as a revenue change.
Let Claude reason over normalized portfolio and project revenue while VerifiedMRR keeps access read-only, scoped, and currency-safe.
The agent can check provider sync state before treating missing or delayed imports as a revenue change.
It can compare explicit UTC ranges and report gross, fees, net, refunds, disputes, and transaction changes without mixing currencies.
It can group revenue by project, provider, product, offer, source label, or event type, then inspect only the time series that matters.
Claude connects to https://verifiedmrr.com/mcp through MCP. VerifiedMRR normalizes revenue that is already imported from payment and affiliate providers, so the agent sees one workspace-scoped schema instead of receiving provider credentials.
The connection has no refund, payout, customer, subscription, import-trigger, or credential-management tools. It is designed for analysis, reporting, and monitoring rather than payment operations.
Draft a monthly operating review after checking that every provider completed its import.
Compare one project's current and prior range, then inspect products, sources, daily points, and recent normalized events.
Bring live business context into a Claude Code planning session without placing revenue exports or payment credentials in the repository.
Use a Claude custom connector or add the remote HTTP MCP in Claude Code, then complete OAuth through the connector or /mcp flow.
Follow the complete Claude setup guide for OAuth, headless tokens, verification, and troubleshooting.
Paste this after the connection is authenticated. It verifies freshness and tool access before asking for an explanation.
Use the connected VerifiedMRR MCP server in Claude. Call get_sync_status first, then list_projects. Explain what revenue data is available, identify stale or degraded sources, compare this month with the previous month, and show the largest project or product changes. Keep currencies separate and state every date range.No. Every VerifiedMRR MCP tool is read-only and there are no money-moving or customer-management operations.
No. The MCP returns normalized project, aggregate, event, currency, and sync metadata—not customer profiles, addresses, card data, or provider credentials.
No. MCP preserves source currencies. The web dashboard has a clearly labelled display-only Auto FX option, but agents must keep MCP currencies separate.
Connect one read-only endpoint, verify sync health, and replace recurring spreadsheet handoffs with live workspace-scoped analysis.