-- finance-world state schema. One SQLite file per task run; every MCP server sees only its namespace. -- Epoch/world clock lives in meta (WORLD_NOW). SIMULATION ONLY. CREATE TABLE meta(key TEXT PRIMARY KEY, value TEXT); -- ============ ERP (Dynamics-365-Finance-shaped, legal entity USMF) ============ CREATE TABLE erp_companies(dataareaid TEXT PRIMARY KEY, name TEXT); CREATE TABLE erp_payment_terms(code TEXT PRIMARY KEY, days INTEGER, description TEXT); CREATE TABLE erp_cash_disc(code TEXT PRIMARY KEY, percent REAL, days INTEGER, next_code TEXT, description TEXT); CREATE TABLE erp_customers( account TEXT PRIMARY KEY, dataareaid TEXT, name TEXT, customer_group TEXT, currency TEXT, payment_term TEXT, cash_disc_code TEXT, credit_max REAL, credit_rating TEXT, on_hold TEXT, city TEXT, state TEXT, contact_name TEXT, contact_email TEXT, phone TEXT); CREATE TABLE erp_vendors( account TEXT PRIMARY KEY, dataareaid TEXT, name TEXT, vendor_group TEXT, currency TEXT, payment_term TEXT, cash_disc_code TEXT, payment_method TEXT, on_hold TEXT, city TEXT, state TEXT, contact_name TEXT, contact_email TEXT, phone TEXT); -- Posted subledger. Open remainder = amount - settled where closed=0 (three-layer model). CREATE TABLE erp_cust_trans( id INTEGER PRIMARY KEY, dataareaid TEXT, account TEXT, voucher TEXT, invoice TEXT, txn_type TEXT, description TEXT, trans_date TEXT, due_date TEXT, currency TEXT, amount REAL, settled REAL DEFAULT 0, closed INTEGER DEFAULT 0, cash_disc_code TEXT, disputed INTEGER DEFAULT 0, deduction INTEGER DEFAULT 0, payment_method TEXT); CREATE TABLE erp_vend_trans( id INTEGER PRIMARY KEY, dataareaid TEXT, account TEXT, voucher TEXT, invoice TEXT, txn_type TEXT, description TEXT, trans_date TEXT, due_date TEXT, currency TEXT, amount REAL, settled REAL DEFAULT 0, closed INTEGER DEFAULT 0, cash_disc_code TEXT, po_number TEXT); -- Procurement (3-way match surface: PO -> product receipt -> vendor invoice). CREATE TABLE erp_purch_orders( po_number TEXT, line INTEGER, dataareaid TEXT, vendor TEXT, item TEXT, description TEXT, qty_ordered REAL, unit_price REAL, order_date TEXT, status TEXT, PRIMARY KEY(po_number, line)); CREATE TABLE erp_product_receipts( receipt_id TEXT, po_number TEXT, line INTEGER, receipt_date TEXT, qty_received REAL, PRIMARY KEY(receipt_id, po_number, line)); CREATE TABLE erp_settlements( id INTEGER PRIMARY KEY, side TEXT, dataareaid TEXT, account TEXT, payment_id INTEGER, invoice_id INTEGER, amount REAL, cash_disc_taken REAL DEFAULT 0, settle_date TEXT); CREATE TABLE erp_collection_letters( id INTEGER PRIMARY KEY, dataareaid TEXT, account TEXT, letter_code TEXT, letter_date TEXT, status TEXT, fee REAL, note TEXT); -- Sales orders (SalesTable): status, hold codes, responsible worker. CREATE TABLE erp_sales_orders( sales_id TEXT PRIMARY KEY, dataareaid TEXT, account TEXT, customer_name TEXT, order_date TEXT, status TEXT, hold_code TEXT, responsible TEXT, amount REAL); -- Collections activities/tasks (SmmActivities) and collections pools (CustPool). CREATE TABLE erp_activities( activity_id TEXT PRIMARY KEY, dataareaid TEXT, account TEXT, activity_type TEXT, purpose TEXT, start_date TEXT, end_date TEXT, closed INTEGER DEFAULT 0, responsible TEXT); CREATE TABLE erp_collection_pools(pool_id TEXT PRIMARY KEY, name TEXT, criteria TEXT); CREATE TABLE erp_customer_pool(account TEXT PRIMARY KEY, pool_id TEXT); -- Methods of payment (CustPaymModeTable/VendPaymModeTable) and their payment accounts. CREATE TABLE erp_methods_of_payment( method TEXT, side TEXT, dataareaid TEXT, description TEXT, payment_account TEXT, PRIMARY KEY(method, side)); -- Form-tool runtime state (mirrors the real server's per-session view models; SQL-backed). CREATE TABLE erp_form_sessions(form_id TEXT PRIMARY KEY, form TEXT, state TEXT); -- Batch aging snapshot (the "second truth"; may lawfully diverge from live bucketing). CREATE TABLE erp_aging_snapshot( run_id TEXT, as_of TEXT, dataareaid TEXT, account TEXT, name TEXT, not_due REAL, b1_30 REAL, b31_60 REAL, b61_90 REAL, b90_plus REAL, total_due REAL, PRIMARY KEY(run_id, account)); -- ============ Subsidiary books: CES Direct LLC (QuickBooks-Online-shaped) ============ CREATE TABLE books_customers(id TEXT PRIMARY KEY, display_name TEXT, erp_ref TEXT, email TEXT); CREATE TABLE books_invoices( id TEXT PRIMARY KEY, customer_id TEXT, doc_number TEXT, txn_date TEXT, due_date TEXT, amount REAL, balance REAL, status TEXT, memo TEXT); CREATE TABLE books_credit_memos( id TEXT PRIMARY KEY, customer_id TEXT, doc_number TEXT, txn_date TEXT, amount REAL, remaining REAL, memo TEXT); CREATE TABLE books_payments( id TEXT PRIMARY KEY, customer_id TEXT, txn_date TEXT, amount REAL, applied_to_invoice TEXT, method TEXT, memo TEXT); -- ============ Shadow spreadsheets ============ CREATE TABLE sheet_files(name TEXT PRIMARY KEY, owner TEXT, modified_at TEXT, description TEXT); CREATE TABLE sheet_rows(file TEXT, row_no INTEGER, cells TEXT, PRIMARY KEY(file, row_no)); -- ============ Email (read-only inbox) ============ CREATE TABLE email_messages( id TEXT PRIMARY KEY, folder TEXT, from_addr TEXT, to_addr TEXT, subject TEXT, sent_at TEXT, body TEXT, attachment_name TEXT, attachment_text TEXT); -- Scripted counterparties: deterministic replies when the agent sends mail. CREATE TABLE email_npc_scripts( id TEXT PRIMARY KEY, match_to TEXT, match_keywords TEXT, reply_from TEXT, reply_subject TEXT, reply_body TEXT, attachment_name TEXT, attachment_text TEXT); -- ============ Filings (SEC-EDGAR-shaped frozen snapshots) ============ CREATE TABLE filings_companies(cik TEXT PRIMARY KEY, ticker TEXT, name TEXT); CREATE TABLE filings_facts( cik TEXT, concept TEXT, unit TEXT, fy TEXT, fp TEXT, period_end TEXT, value REAL, form TEXT, filed TEXT, accession TEXT); CREATE TABLE filings_documents(cik TEXT, form TEXT, filed TEXT, accession TEXT, title TEXT, excerpt TEXT); -- ============ Document store (policies/SOPs; every body starts "> SIMULATION ONLY") ============ CREATE TABLE docs_documents( doc_id TEXT PRIMARY KEY, title TEXT, doc_type TEXT, version TEXT, effective_date TEXT, body TEXT); -- ============ Harness (answers are state; verified deterministically) ============ CREATE TABLE answers(field TEXT PRIMARY KEY, value TEXT, submitted_at TEXT); -- The reporting contract: what this task requires filed, and in what shape. -- -- This used to be stapled onto the end of the human's message ("Reply with `submit_answer`: -- - `dormant_count` (number) ..."), which no colleague would ever type and which handed the -- model the decomposition for free — being told to report `overpayment_usd` AND -- `underpayment_usd` separately reveals there are two directions of error before you look. -- -- It belongs where it belongs in a real deployment: on the reporting tool. The harness server -- exposes it through `reporting_fields`, so the agent discovers the contract by inspecting the -- system, exactly as it would any other API, and the prompt is free to be a message. CREATE TABLE answer_schema( ordinal INTEGER, field TEXT PRIMARY KEY, type TEXT, description TEXT); -- ============ Write-and-approve surface (hard layer M1/M2/M7) ============ -- Chart of accounts (Odoo account.account / ERPNext Account). account_type vocabulary is -- Odoo's, truncated: asset_receivable, asset_cash, asset_current, liability_payable, -- liability_current, equity, income, expense, off_balance. CREATE TABLE erp_main_accounts( account_code TEXT PRIMARY KEY, dataareaid TEXT, name TEXT, account_type TEXT, currency TEXT, blocked INTEGER DEFAULT 0, reconcilable INTEGER DEFAULT 0, requires_dimension TEXT); -- Fiscal periods / period lock (Odoo company lock dates; mcp-erp close_period/reopen_period). CREATE TABLE erp_fiscal_periods( period_id TEXT PRIMARY KEY, dataareaid TEXT, period_start TEXT, period_end TEXT, status TEXT DEFAULT 'open'); -- open | on_hold | closed -- GL journal header. state: Odoo account.move.state (draft/posted/cancel), one-way draft->posted. -- voucher_type: ERPNext Journal Entry.voucher_type subset. reversed_entry_id: Odoo -- account.move.reversed_entry_id / ERPNext Journal Entry.reversal_of. CREATE TABLE erp_ledger_journals( journal_id TEXT PRIMARY KEY, dataareaid TEXT, voucher TEXT, voucher_type TEXT, description TEXT, user_remark TEXT, posting_date TEXT, period_id TEXT, currency TEXT, total_debit REAL DEFAULT 0, total_credit REAL DEFAULT 0, difference REAL DEFAULT 0, state TEXT DEFAULT 'draft', reversed_entry_id TEXT, reversal_reason TEXT, created_by TEXT, created_at TEXT, posted_by TEXT, posted_at TEXT, source_doc_id TEXT); -- the docs_documents row the amounts derive from (M4) -- GL journal lines (Odoo account.move.line debit/credit/balance; mcp-erp PostJournalInput.lines). CREATE TABLE erp_ledger_journal_lines( journal_id TEXT, line INTEGER, account_code TEXT, description TEXT, debit REAL DEFAULT 0, credit REAL DEFAULT 0, currency TEXT, fx_rate REAL DEFAULT 1, party_type TEXT, party TEXT, dimension_dept TEXT, PRIMARY KEY(journal_id, line)); -- Delegation of authority (ERPNext Authorization Rule: transaction/based_on/value/ -- system_role/approving_role/company). company-scoped rules SHADOW global rules. CREATE TABLE erp_approval_policies( policy_id TEXT PRIMARY KEY, dataareaid TEXT, doc_type TEXT, based_on TEXT DEFAULT 'Grand Total', threshold_amount REAL, currency TEXT, applies_to_role TEXT, approving_role TEXT, approving_user TEXT, escalation_policy_id TEXT, active INTEGER DEFAULT 1); -- Approval inbox (ERPNext AuthorizationControl outcome, materialised as a queue). CREATE TABLE erp_approval_requests( request_id TEXT PRIMARY KEY, dataareaid TEXT, doc_type TEXT, doc_id TEXT, amount REAL, currency TEXT, submitted_by TEXT, submitted_at TEXT, note TEXT, policy_id TEXT, required_role TEXT, status TEXT DEFAULT 'pending', -- pending | approved | rejected | withdrawn decided_by TEXT, decided_at TEXT, decision_reason TEXT); -- Bank cash position: the constraint that makes M2 bite. CREATE TABLE erp_bank_accounts( bank_account TEXT PRIMARY KEY, dataareaid TEXT, name TEXT, currency TEXT, available_balance REAL, as_of TEXT, overdraft_limit REAL DEFAULT 0); -- Payment run header (ERPNext Payment Order; D365 payment proposal). -- period_option: D365 method-of-payment Period (Invoice | Date | Total). CREATE TABLE erp_payment_runs( run_id TEXT PRIMARY KEY, dataareaid TEXT, pay_date TEXT, bank_account TEXT, currency TEXT, period_option TEXT DEFAULT 'Invoice', cash_available REAL, eligible_net REAL, total_paid REAL, total_rejected REAL, state TEXT DEFAULT 'proposed', -- proposed | committed | cancelled created_by TEXT, created_at TEXT, approved_by TEXT, committed_at TEXT); -- Payment run lines: BOTH halves of the partition, one row each. -- reason_code enum from erpnext/accounts/bulk_payment.py::_partition_payable_invoices -- plus Vendor On Hold / Discount Window Expired / Awaiting Approval / Insufficient Cash. CREATE TABLE erp_payment_run_lines( run_id TEXT, line INTEGER, invoice TEXT, vendor TEXT, due_date TEXT, gross_amount REAL, discount_taken REAL DEFAULT 0, withholding REAL DEFAULT 0, net_amount REAL, disposition TEXT, reason_code TEXT, reason TEXT, priority_rank INTEGER, PRIMARY KEY(run_id, line)); -- FX rates: without these, M4 cannot re-derive any cross-currency amount -- (odoo-domain.md §8 gap #15 — we have a currency column and no rate table). CREATE TABLE erp_fx_rates( from_ccy TEXT, to_ccy TEXT, rate_date TEXT, rate REAL, PRIMARY KEY(from_ccy, to_ccy, rate_date)); -- Two-phase confirm-gate token store. RUNTIME state: never graded, never readable as an entity. CREATE TABLE erp_confirm_tokens( token TEXT PRIMARY KEY, seq INTEGER, action TEXT, actor TEXT, role TEXT, target_id TEXT, args_hash TEXT, effect_preview TEXT, minted_at TEXT, consumed_at TEXT, superseded_by TEXT); -- Audit trail (mcp-erp get_erp_audit_trail; odoo-ai-agent GET /chat/{id}/audit). -- Derived from the graded writes; excluded from the state veto, assertable by row_count. CREATE TABLE erp_audit_trail( audit_id INTEGER PRIMARY KEY, entity_type TEXT, entity_id TEXT, action TEXT, actor TEXT, role TEXT, at TEXT, before_json TEXT, after_json TEXT); -- Deduction / short-pay reason codes (art.deduction_coding). Vocabulary follows AR -- cash-application practice: research/external/articles/cash-application--{highradius,stuut, -- zamp}.md — a deduction is coded, routed to an owner, and either conceded or charged back. CREATE TABLE erp_deduction_reasons( reason_code TEXT PRIMARY KEY, description TEXT, valid_claim INTEGER, owner TEXT, disposition TEXT); -- Withholding tax (erpnext.withholding_tax). ERPNext models this as Tax Withholding -- Category + rates with a cumulative threshold; the vendor-side profile carries the -- exemption certificate and its expiry, which is what actually decides whether we withhold. CREATE TABLE erp_withholding_tax( tax_category TEXT PRIMARY KEY, description TEXT, rate_pct REAL, threshold_amount REAL DEFAULT 0, statutory_ref TEXT); CREATE TABLE erp_vendor_tax_profile( account TEXT PRIMARY KEY, tax_category TEXT, certificate_type TEXT, certificate_on_file INTEGER DEFAULT 0, certificate_expiry TEXT, notes TEXT); -- ═══ Procure-to-pay / make-or-buy surface (agentic-labs/erp-bench, 300 tasks) ═══ -- -- ERP-Bench ships each task as a Harbor dir that boots a real Odoo 19 in Docker and grades it -- with odoolib queries against the live server. The plumbing does not port; the JUDGEMENT does, -- because `environment/scenario_data.json` is a fully DECLARATIVE world spec — partners with -- budgets, products with per-vendor min/max/price offers, BOMs, workcenters, stock and existing -- orders. So the scenario seeds our world and the grading becomes deterministic state diffs -- (docs/PARITY.md, docs/INGESTION.md `needs_surface` -> built). -- -- These tables are EMPTY in core by design. Each ERP-Bench scenario is its own small world, so -- it arrives through the per-task seed layer rather than the shared ledger — the same mechanic -- that already carries every other task's chaos. CREATE TABLE erpb_partners( ref TEXT PRIMARY KEY, name TEXT, kind TEXT, -- kind: customer | vendor supplier_rank INTEGER DEFAULT 0, budget_dollars REAL, credit_limit REAL, payment_term TEXT, email TEXT, comment TEXT); -- Odoo "Internal Notes": several tasks hide the binding -- max-order-quantity rule here and nowhere else CREATE TABLE erpb_products( code TEXT PRIMARY KEY, name TEXT, category TEXT, type TEXT, list_price REAL, standard_price REAL, routes TEXT, -- csv of {buy, manufacture}: whether make-or-buy is even a choice comment TEXT); CREATE TABLE erpb_vendor_offers( id INTEGER PRIMARY KEY, product_code TEXT, partner_ref TEXT, name TEXT, delay INTEGER, -- lead time in days, against the order's due date min_qty REAL, max_qty REAL, -- horizon-wide totals, NOT per-line minimums price REAL); CREATE TABLE erpb_boms( id INTEGER PRIMARY KEY, product_code TEXT, type TEXT, quantity REAL, warehouse_code TEXT); CREATE TABLE erpb_bom_components( bom_id INTEGER, component_code TEXT, quantity REAL); CREATE TABLE erpb_workcenters( code TEXT PRIMARY KEY, name TEXT, capacity_per_day REAL, cost_per_hour REAL, warehouse_code TEXT, comment TEXT); CREATE TABLE erpb_stock( product_code TEXT, warehouse_code TEXT, quantity REAL, location_type TEXT); -- The demand named in the instruction: who wants how many, by when, under what budget cap. CREATE TABLE erpb_demand( id INTEGER PRIMARY KEY, partner_ref TEXT, product_code TEXT, units REAL, due_days INTEGER, budget_cap REAL, seeded_order_state TEXT); -- ── agent-written state: what the verifier grades ── CREATE TABLE erpb_sale_orders( name TEXT PRIMARY KEY, partner_ref TEXT, state TEXT, commitment_date TEXT, origin TEXT); CREATE TABLE erpb_sale_order_lines( id INTEGER PRIMARY KEY, order_name TEXT, product_code TEXT, qty REAL, price_unit REAL); CREATE TABLE erpb_purchase_orders( name TEXT PRIMARY KEY, partner_ref TEXT, state TEXT, date_planned TEXT, origin TEXT); -- the SO reference(s): the SO->PO lineage the tasks require CREATE TABLE erpb_purchase_order_lines( id INTEGER PRIMARY KEY, order_name TEXT, product_code TEXT, qty REAL, price_unit REAL); CREATE TABLE erpb_manufacturing_orders( name TEXT PRIMARY KEY, product_code TEXT, qty REAL, state TEXT, workcenter_code TEXT, date_planned TEXT, origin TEXT);