Sguild Finance
Cross-domain financial reporting and reconciliation for Sguild. The served read surface is contracted at contracts/finance-mart/ in the coordination repo (v2.0.0 published 2026-05-19).
Admin endpoints
POST /api/admin/cash-balance-entries— record an entry.GET /api/admin/cash-balance-entries?organizationId=&reportingPeriod=— list entries for a period.GET /api/admin/cash-balance-entries/composed?organizationId=&reportingPeriod=— composed cash position.
Admin endpoints require an Authorization: Bearer header matching the deploy's FINANCE_ADMIN_TOKEN.
Operator dashboard
Operator dashboard (login required) -- leadership metrics, cash & runway, and pipeline visibility.