--- name: statement-reconciliation description: Verify and reconcile a bank or card statement through a connected Ledgerglass server. license: MIT --- # Statement Reconciliation Read the live guidance and identify the exact account. Route manual accounts to the manual statement tool, synced accounts with complete posted rows to synced statement reconciliation, and metadata-only documents to statement metadata. Before a write, hash the source, preserve printed dates, signs, descriptions, and duplicates, then prove opening balance plus activity equals closing balance. Explain the account, cycle, row count, arithmetic, and proposed change to the owner. Never invent an adjustment row. Report matches, overlays, exclusions, ambiguities, coverage, and provenance after the write.