The close, and every line under it.
The dashboard is the close: total in books, this month's net, line count, and how many lines still wait for a category — derived from the ledger on every load, never cached, never keyed in.
The Transactions room is the daily workspace. Every line comes straight off the ledger with its date, description, category chip, and amount. Filter by month, by category, or search descriptions — and the filtered total follows the filters: search a vendor and the page shows the count and the sum over exactly the matched set, not the whole book. Archived duplicates stay visible, struck through, because a line that vanished silently is a question an auditor gets to ask.
Uncategorised lines carry a one-click chip picker drawn from your own labels, so a pass down the list is clicks, not typing — and a chip click returns you to the same filtered view, exactly where you were. Pending transactions surfaced before they post are in build now.