# Workflow: Expense Tracking > **Estimated time**: 20 minutes > **Difficulty**: Intermediate --- ## Use Case You have receipt photos, screenshots, or scanned documents and need to: - Extract expense data into a spreadsheet - Categorize expenses - Create totals and summaries - Track for reimbursement or accounting > ⚠️ **Important**: Claude excels at reading receipt **fields** (vendor, date, totals) but is weaker at **line-item extraction** from tables (63% accuracy vs 97% for fields). Always verify totals manually. Budget 30-50% of time saved for validation and error correction. --- ## Prerequisites - [ ] Cowork enabled with Chrome access (for receipt photos) - [ ] Receipt images (JPG, PNG) or PDFs - [ ] Workspace folder created --- ## Step-by-Step Instructions ### Step 1: Prepare Receipts ```bash # Create workspace structure mkdir -p ~/Cowork-Workspace/{input/receipts,output} # Copy receipts to workspace cp ~/Downloads/*.jpg ~/Cowork-Workspace/input/receipts/ cp ~/Downloads/*.png ~/Cowork-Workspace/input/receipts/ cp ~/Downloads/*.pdf ~/Cowork-Workspace/input/receipts/ ``` **Tip**: Name files descriptively if possible (e.g., `2024-01-15-uber.jpg`) ### Step 2: Review Receipt Quality Check image quality—Cowork uses OCR and works best with: - Clear, in-focus photos - Good lighting - Full receipt visible - Minimal glare/shadows ### Step 3: Initial Extraction Start with a basic extraction: ``` Extract expense data from receipt images in ~/Cowork-Workspace/input/receipts/ Create an Excel file with columns: - Date (YYYY-MM-DD format) - Vendor/Store - Amount (number only, no currency symbol) - Currency (3-letter code: USD, EUR, etc.) - Category - Payment Method (if visible: Cash, Credit, Debit) - Receipt Filename (for reference) Save to: ~/Cowork-Workspace/output/expenses.xlsx ``` ### Step 4: Review Initial Results Open the Excel file and check: - Are dates correct? - Are amounts accurate? - Are vendors recognized correctly? - Any missing or garbled data? ### Step 5: Request Corrections If there are issues: ``` Review the expense file you created. Corrections needed: - Row 3: Amount should be 45.99, not 4599 - Row 7: Date should be 2024-01-15 - Row 12: Vendor is "Starbucks" not "Slarbucks" Make these corrections and save. ``` ### Step 6: Add Summaries Enhance the spreadsheet with analysis: ``` Enhance ~/Cowork-Workspace/output/expenses.xlsx with: Sheet 2 - "Category Summary": - Category - Total Amount - Number of Transactions - Percentage of Total Sheet 3 - "Monthly Summary": - Month - Total Amount - Transaction Count - Top Category Sheet 4 - "Vendor Summary": - Vendor - Total Spent - Number of Visits - Average Transaction Add formulas so summaries update automatically. Use [European/US] formula syntax. ``` ### Step 7: Final Review ``` Create a final summary of the expense data: - Total expenses - Date range covered - Number of receipts processed - Any receipts that couldn't be fully extracted Save summary to ~/Cowork-Workspace/output/expense-summary.txt ``` --- ## Example Prompts ### Basic Extraction ``` Extract expenses from receipts in ~/Cowork-Workspace/input/receipts/ Columns: Date, Vendor, Amount, Category Save to ~/Cowork-Workspace/output/expenses.xlsx ``` ### With Auto-Categorization ``` Extract expenses and auto-categorize: - Food & Dining: restaurants, cafes, grocery - Transportation: uber, lyft, gas, parking - Office: supplies, software, subscriptions - Travel: hotels, flights, rental cars - Other: everything else Save with categories to ~/Cowork-Workspace/output/categorized-expenses.xlsx ``` ### With Tax Separation ``` Extract expenses with tax breakdown: Columns: Date, Vendor, Subtotal, Tax, Total, Category For receipts that show tax separately, extract it. For receipts without tax breakdown, put total in Total column, leave Tax blank. Add a summary showing total tax paid. ``` ### Reimbursement Report ``` Create a reimbursement report from expenses in ~/Cowork-Workspace/output/expenses.xlsx Format as Word document with: - Employee Name: [Your Name] - Report Period: [Auto-detect from dates] - Itemized expenses table - Category subtotals - Grand total - Certification statement line for signature Save to ~/Cowork-Workspace/output/reimbursement-report.docx ``` --- ## Troubleshooting ### OCR Can't Read Receipt **Cause**: Poor image quality, unusual font, or receipt damage **Solutions**: - Retake photo with better lighting - Try scanning instead of photographing - Manually enter data for problematic receipts ``` For receipts you couldn't read, add placeholder rows: - Date: MANUAL ENTRY NEEDED - Filename: [receipt filename] I'll fill in the details manually. ``` ### Wrong Amounts Extracted **Common issues**: - Decimal point confusion (1500 vs 15.00) - Currency symbol included in number - Total vs subtotal confusion ``` Review all amounts in the expense file. Ensure: - Amounts are numbers only (no $ or € symbols) - Decimal places are correct (15.99 not 1599) - Use the TOTAL amount, not subtotal Show me any rows where you're uncertain about the amount. ``` ### Categories Are Wrong ``` Recategorize expenses using these rules: - "Amazon" → Check item: Office if supplies, Personal if other - "Uber"/"Lyft" → Transportation (not Travel) - Coffee shops → Food & Dining (not Office) Update the spreadsheet with correct categories. ``` ### Duplicate Entries ``` Check for duplicate expenses (same date, vendor, amount). Mark potential duplicates but don't delete. Add "Possible Duplicate" flag column. ``` --- ## Regional Settings ### US/Canada ``` Use US format: - Dates: MM/DD/YYYY - Currency: USD/CAD - Formula separators: comma (,) ``` ### Europe ``` Use European format: - Dates: DD/MM/YYYY - Currency: EUR - Formula separators: semicolon (;) ``` ### Mixed Currencies ``` Handle multiple currencies: - Keep original currency column - Add "Amount USD" column with conversion - Use exchange rate as of receipt date - Note conversion rate in summary ``` --- ## Variations ### Credit Card Statement Reconciliation ``` Compare extracted receipts to credit card statement in ~/Cowork-Workspace/input/statement.pdf Create reconciliation report showing: - Matched transactions - Statement entries without receipts - Receipts without statement entries - Amount discrepancies ``` ### Monthly Expense Report ``` From expenses in ~/Cowork-Workspace/output/expenses.xlsx, create monthly report: Include: - Spending by category (pie chart data) - Comparison to previous month - Highest expense categories - Unusual transactions - Budget tracking (if budget provided) Save to ~/Cowork-Workspace/output/monthly-report.docx ``` ### Team Expense Consolidation ``` Consolidate expense files from ~/Cowork-Workspace/input/team-expenses/ (Multiple expense files from different team members) Create master spreadsheet with: - All expenses from all files - "Submitted By" column - Team totals - Per-person totals Save to ~/Cowork-Workspace/output/team-expenses.xlsx ``` --- ## Best Practices 1. **Name receipt files well** — `YYYY-MM-DD-vendor.jpg` helps Cowork 2. **Process in batches** — Don't do 200 receipts at once; do 20-30 3. **Verify ALL totals** — OCR line-item accuracy is ~63%; always manually verify sums 4. **Keep originals** — Don't delete receipt images until verified 5. **Note uncertainties** — Ask Cowork to flag uncertain extractions 6. **Budget for validation** — Plan 30-50% of "saved" time for error correction 7. **Use Max for large batches** — Pro quota (~1.5h intensive) may not cover 50+ receipts --- *[Back to Workflows](README.md) | [Cowork Documentation](../README.md)*