EIGENN.
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EIGENN.

Getting Started

Create a workspace, secure your account, connect the financial record, and check your first operations view.

Eigenn onboarding establishes the workspace, the person who signs in, and the financial connections that power the product. Complete those foundations before you use balances, receivables, or automation as operations signals.

What You Will Set Up

The supported first-run path covers four layers:

  1. Identity — Sign in through the hosted authentication flow.
  2. Workspace — Choose the company name, the country, and the base currency.
  3. Account protection — Enroll an authenticator app and confirm a six-digit code.
  4. Financial connections — Connect Stripe and at least one bank account. Then wait for the initial bank sync.

Plan selection is also part of the first-run path. The onboarding plan screen now offers Starter, Pro, and Enterprise with monthly billing.

1. Sign In or Create an Account

Open Sign in or Sign up. The same hosted authentication flow handles both new users and users who return.

  • Continue with Google is the primary option.
  • Select Show other options for Apple, GitHub, or email.
  • Email entry supplies the address to the hosted sign-in service. Eigenn does not show a separate local-password form.
  • If your company uses SSO, use the identity option that your organization set.

After authentication, Eigenn sends a new user with no workspace to workspace creation. Eigenn sends a user who returns to the requested page or to the active workspace.

2. Create the Workspace

Complete Create your Eigenn workspace:

FieldEffect
Company nameNames the workspace throughout the app
Organization nameOptional identity-organization name; defaults to the company name
CountryStores the workspace country
Base currencySets the reporting currency that the workspace uses

The company name must contain at least two characters. An organization name must be unique when identity-organization setup is on.

Workspace creation also provisions default Vault folders and a default collections policy. Those background tasks are independent. Eigenn can create a workspace even when one of those defaults needs to recover later.

3. Enroll an Authenticator

After workspace creation, Eigenn opens the MFA setup flow.

  1. Select Generate QR code.
  2. Scan the code with a TOTP authenticator such as 1Password, Authy, or Google Authenticator.
  3. If you cannot scan the code, enter the displayed manual setup key in the authenticator.
  4. Enter the six-digit code.
  5. Select Verify & enable.

The current enrollment flow adds an authenticator-app factor. It does not add a passkey or hardware security key. You can manage enrolled factors later under Settings → Account → Security.

4. Select a Plan

The onboarding plan page displays the paid plans available for hosted checkout. Choose a plan to continue to Stripe Checkout.

After payment, Eigenn polls for subscription activation. If activation does not synchronize before the poll window ends, select Retry status check. Do not submit checkout again while a successful payment continues to sync.

Eigenn automatically redirects an already active subscriber out of plan setup.

5. Connect Stripe and a Bank

When one of the two necessary connections is not present, Eigenn opens a non-dismissible setup flow on protected product pages.

The steps are:

  1. Read the welcome step.
  2. Connect Stripe.
  3. Connect a bank provider.
  4. Choose the bank accounts to add.
  5. Wait for bank synchronization.
  6. Examine the connection summary.
  7. Select Finish setup.

The flow skips a connection step when that connection already exists. It closes only after the active workspace has both Stripe and at least one bank connection.

When you select Finish setup, Eigenn records onboarding completion. Eigenn bases the connection check on live connection records, not only on that completion flag.

6. Confirm the First Operations Record

Before you act on the data:

  1. Open Transactions. Confirm that the expected bank account and recent activity appear.
  2. Open Invoices. Confirm that Stripe-backed customer and invoice records are present when applicable.
  3. Open Settings → Usage. Confirm that the bank, invoice, Inbox, seat, and storage counts look plausible.
  4. Open Settings → Account → Currency. Confirm the workspace base currency.
  5. Examine Settings → Notifications. Make sure that each operator gets only the team alerts that they need.

Initial sync can continue after you establish a connection. A connected badge proves that authorization exists. It does not prove that the import of every historical record is complete.

What Is Optional

These tasks improve the workspace, but they are not part of the necessary connection gate:

  • invite teammates and assign the correct roles
  • upload a workspace logo
  • set transaction export defaults
  • confirm a custom sending domain
  • adjust personal date, time, and appearance preferences
  • create more integrations and automations

We recommend that workspace owners complete organization, role, billing, and security-policy setup before they invite a large team.

Troubleshoot

Sign-in returns to the login page

Retry the same authentication method that you used before. If SSO reports that no team exists for the domain, an organization owner must create or set up the organization before domain-based sign-in can succeed.

Workspace creation says that the name is not available

Choose a distinct organization name. Then submit again. The company name can stay recognizable while you make the identity-organization name unique.

Eigenn rejects the MFA code

Confirm that the device clock is correct. Enter the current six-digit code. Then try again. Use Regenerate only when you are ready to replace the unverified setup with a new QR code and secret.

Payment succeeded but the access sync continues

Keep the onboarding page open. Use Retry status check after the timeout message appears. Do not start a second checkout for the same plan.

The connection flow will not close

The active workspace must have a record of Stripe and of at least one bank account. Complete the step that is not done. Wait for the bank sync state. Then return to the summary.

Counts or balances are unexpectedly empty

Confirm that you are in the intended workspace and that the initial sync is complete. If the connection is healthy but the record remains incomplete, send a request through Settings → Account → Support. Include the affected connection and the page URL.

Continue Setup

  • Set Up a Workspace
  • Onboarding and Support
  • Security and Access
  • Account Preferences
  • Marketplace Integrations
  • Manage Team Access

Eigenn Documentation

Set up Eigenn, operate each finance workspace, and connect the product to your systems.

Product Features

Understand each Eigenn workspace and how the product areas work together.

On this page

What You Will Set Up1. Sign In or Create an Account2. Create the Workspace3. Enroll an Authenticator4. Select a Plan5. Connect Stripe and a Bank6. Confirm the First Operations RecordWhat Is OptionalTroubleshootSign-in returns to the login pageWorkspace creation says that the name is not availableEigenn rejects the MFA codePayment succeeded but the access sync continuesThe connection flow will not closeCounts or balances are unexpectedly emptyContinue Setup

Eigenn docs

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Overview
Overview
OverviewAccount PreferencesAssistant AutomationAssistant Command CenterBank ConnectionsBilling and UsageBudgets and ForecastCommand CenterCustomer LifecycleCustomer RecordsCustomersDeveloper PlatformDocument Processing and ExtractionDocument VaultFinancial Analytics and ReportsFinancial OverviewInvoice InsightsInvoice ProductsInvoicesMarketplace IntegrationsNotifications and BrandingOnboarding and SupportOverviewReceivablesReceivables AnalyticsReceivables ControlsSecurity and AccessSettings OverviewStress TestsTeams and OrganizationsTone Profiles and ExperimentsTransaction Categories and RulesTransactionsWeekly Finance RitualWorkflow ExecutionsWorkflow PausesWorkflowsWorkspace Inbox and Approvals
OverviewBuild and Review a ForecastBuild Your First WorkflowConfigure Assistant OperationsConfigure Notifications and BrandingConfigure Receivables ControlsConnect Transaction RecordsCreate and Manage CustomersCreate and Send InvoicesDeveloper API SetupFirst Cash ReviewInvoice Collection WorkflowMaintain Transaction RulesManage Security and BillingManage Team AccessManage the Invoice LifecycleMCP WorkflowsMonitor and Recover WorkflowsOrganize and Share DocumentsProcess Inbox ItemsReconcile and Categorize TransactionsReview a Customer Finance RecordRun a Finance Operating ReviewRun a Receivables Tone ExperimentRun a Runway Stress TestRun Your First Command Center ReviewSet Up a WorkspaceTroubleshoot Account AccessWebhook DeliveryWeekly CFO Review
OverviewIntegrationsMCPSDKsWebhooks
OverviewAuthenticationBank Accounts APICustomers APIErrorsForecasts and Stress Tests APIInvoice Payments APIInvoices APIPaginationRate LimitsRemote Tracker API StatusTracker Categories APITracker Entries and Timers APITracker Projects APITransactions APIWebhooks API StatusWorkflows API Status
Overview
Overview