--- name: Accounts Reconciler slug: accounts-reconciler description: Automate account reconciliation by matching transactions, identifying discrepancies, and generating variance reports category: business complexity: intermediate version: "1.0.0" author: "ID8Labs" triggers: - "reconcile accounts" - "match transactions" - "find discrepancies" tags: - accounting - reconciliation - finance --- # Accounts Reconciler Streamline account reconciliation by automatically matching transactions across multiple sources, identifying discrepancies, and generating variance reports. Eliminates hours of manual spreadsheet work. ## Core Workflows ### Workflow 1: Bank Statement Reconciliation 1. **Import Data** - Load bank statement and internal ledger 2. **Auto-Match** - Match transactions by amount, date, reference 3. **Flag Exceptions** - Identify unmatched items 4. **Document Adjustments** - Record journal entries 5. **Generate Report** - Create reconciliation summary ### Workflow 2: AR/AP Reconciliation 1. **Pull Aging** - Extract receivables/payables by customer/vendor 2. **Match Payments** - Link payments to invoices 3. **Identify Unapplied** - Find payments without matching invoices 4. **Generate Statements** - Create statements for resolution ## Quick Reference | Action | Command | |--------|---------| | Reconcile bank | "Reconcile [account] for [period]" | | Find mismatches | "Show unmatched transactions" | | Variance report | "Generate variance report" |