The job by hand
Reconciliation is a row-by-row match between the statement and the ledger, and the exceptions are always found at 6pm on close day.
The ask
Hello, reconcile this bank statement against the ledger
What comes back
A Google Sheet lands in the Bookkeepers Reconciliation Workspace folder in your Google Drive: Statement row, Ledger row, Match status, Difference and Next action.
| Statement row | Ledger row | Match status | Difference | Next action |
|---|---|---|---|---|
| Sep 9 - Stripe payout $19,240 | Deposit $19,240 | Matched | $0 | None |
| Sep 10 - wire ref 8841 $3,850 | No ledger entry | Unmatched | $3,850 | Check against INV-1042 (Bright Foods) |
Sample data shown. Your workspace fills with your real work.
What it takes over
- Reads the exact inputs and sources you approve.
- Saves the work as a review-ready Google Sheet in the Bookkeepers Reconciliation Workspace folder in Google Drive.
- Shows evidence, unknowns and blocks instead of guessing.
- Prepares the next action and stops at the human gate.
How buying works
- Buy once for $19. Three files arrive:
skill.md,setup-prompt.txtandusage-prompt.txt. - Hand the files to the assistant you already use. It sets the job up on Google, Microsoft or Zoho and tests it on fictional data.
- Approve the setup. It runs the job and stops at every external action for your sign-off.
Where it stops
It does not send, spend, publish, schedule or make a human decision without the exact approval that action needs.
Common questions
What do I review?
A sheet with statement row, ledger row, match status, difference and next action, in a Bookkeepers Reconciliation Workspace folder.
Does it fix discrepancies?
It lists exceptions with a proposed next action. The fix decision stays with you.
What format do statements need?
The spreadsheet exports you already use, pointed at during setup.
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$19 →Prefer the store pages? Browse the Bookkeepers agent menu or the Reconciliation Agent product page.