finance/skills/reconciliation/SKILL.md
Reconcile accounts by comparing GL balances to subledgers, bank statements, or third-party data. Use when performing bank reconciliations, GL-to-subledger recs, intercompany reconciliations, or identifying and categorizing reconciling items.
npx skillsauth add grailautomation/claude-plugins reconciliationInstall this skill globally with one command. Works with Claude Code, Cursor, and Windsurf.
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Important: This skill assists with reconciliation workflows but does not provide financial advice. All reconciliations should be reviewed by qualified financial professionals before sign-off.
Methodology and best practices for account reconciliation, including GL-to-subledger, bank reconciliations, and intercompany. Covers reconciling item categorization, aging analysis, and escalation.
Compare the general ledger control account balance to the detailed subledger balance.
Common accounts:
Process:
Common causes of differences:
Compare the GL cash balance to the bank statement balance.
Process:
Standard format:
Balance per bank statement: $XX,XXX
Add: Deposits in transit $X,XXX
Less: Outstanding checks ($X,XXX)
Add/Less: Bank errors $X,XXX
Adjusted bank balance: $XX,XXX
Balance per general ledger: $XX,XXX
Add: Interest/credits not recorded $X,XXX
Less: Bank fees not recorded ($X,XXX)
Add/Less: GL errors $X,XXX
Adjusted GL balance: $XX,XXX
Difference: $0.00
Reconcile balances between related entities to ensure they net to zero on consolidation.
Process:
Common causes of differences:
Items that exist because of normal processing timing and will clear without action:
Expected resolution: These items should clear within the normal processing cycle (typically 1-5 business days). No adjusting entry needed.
Items that require a journal entry to correct:
Action: Prepare adjusting journal entry to correct the GL or subledger.
Items that cannot be immediately explained:
Action: Investigate root cause, document findings, escalate if unresolved.
Track the age of reconciling items to identify stale items requiring escalation:
| Age Bucket | Status | Action | |-----------|--------|--------| | 0-30 days | Current | Monitor — within normal processing cycle | | 31-60 days | Aging | Investigate — follow up on why item has not cleared | | 61-90 days | Overdue | Escalate — notify supervisor, document investigation | | 90+ days | Stale | Escalate to management — potential write-off or adjustment needed |
| Item # | Description | Amount | Date Originated | Age (Days) | Category | Status | Owner | |--------|-------------|--------|-----------------|------------|----------|--------|-------| | 1 | [Detail] | $X,XXX | [Date] | XX | [Type] | [Status] | [Name] |
Track reconciling item totals over time to identify growing balances:
Define escalation triggers based on your organization's risk tolerance:
| Trigger | Threshold (Example) | Escalation | |---------|---------------------|------------| | Individual item amount | > $10,000 | Supervisor review | | Individual item amount | > $50,000 | Controller review | | Total reconciling items | > $100,000 | Controller review | | Item age | > 60 days | Supervisor follow-up | | Item age | > 90 days | Controller / management review | | Unreconciled difference | Any amount | Cannot close — must resolve or document | | Growing trend | 3+ consecutive periods | Process improvement investigation |
Note: Set thresholds based on your organization's materiality level and risk appetite. The examples above are illustrative.
If you see unfamiliar placeholders or need to check which tools are connected, see CONNECTORS.md.
Important: This command assists with reconciliation workflows but does not provide financial advice. All reconciliations should be reviewed by qualified financial professionals before sign-off.
Reconcile GL account balances to subledger, bank, or third-party balances. Identify and categorize reconciling items and generate a reconciliation workpaper.
/finance:reconciliation <account> <period>
account — The account or account category to reconcile. Examples:
cash or bank — Bank reconciliation (GL cash to bank statement)accounts-receivable or ar — AR subledger reconciliationaccounts-payable or ap — AP subledger reconciliationfixed-assets or fa — Fixed asset subledger reconciliationintercompany or ic — Intercompany balance reconciliationprepaid — Prepaid expense schedule reconciliationaccrued-liabilities — Accrued liabilities detail reconciliation1010, 2100)period — The accounting period end date (e.g., 2024-12, 2024-12-31)If ~~erp or ~~data warehouse is connected:
If no data source is connected:
Connect ~~erp or ~~data warehouse to pull account balances automatically. To reconcile manually, provide:
- GL side: The general ledger balance for the account as of period end
- Other side: The subledger balance, bank statement balance, or third-party confirmation balance
- Prior period outstanding items (optional): Any reconciling items from the prior period reconciliation
Calculate the difference between the two sides:
GL Balance: $XX,XXX.XX
Subledger/Bank/Other Balance: $XX,XXX.XX
----------
Difference: $XX,XXX.XX
Analyze the difference and categorize reconciling items:
Timing Differences (items that will clear in subsequent periods):
Permanent Differences (items requiring adjustment):
Prior Period Items (carryforward from prior reconciliation):
ACCOUNT RECONCILIATION
Account: [Account code] — [Account name]
Period End: [Date]
Prepared by: [User]
Date Prepared: [Today]
RECONCILIATION SUMMARY
=======================
Balance per General Ledger: $XX,XXX.XX
Add: Reconciling items increasing GL
[Item description] $X,XXX.XX
[Item description] $X,XXX.XX
---------
Subtotal additions: $X,XXX.XX
Less: Reconciling items decreasing GL
[Item description] ($X,XXX.XX)
[Item description] ($X,XXX.XX)
---------
Subtotal deductions: ($X,XXX.XX)
Adjusted GL Balance: $XX,XXX.XX
Balance per [Subledger/Bank/Other]: $XX,XXX.XX
Add: Reconciling items
[Item description] $X,XXX.XX
Less: Reconciling items
[Item description] ($X,XXX.XX)
Adjusted [Other] Balance: $XX,XXX.XX
DIFFERENCE: $0.00
Present each reconciling item with:
| # | Description | Amount | Category | Age (Days) | Status | Action Required | |---|-------------|--------|----------|------------|--------|-----------------| | 1 | [Detail] | $X,XXX | Timing | 5 | Expected to clear | Monitor | | 2 | [Detail] | $X,XXX | Error | N/A | Requires correction | Post adjusting JE |
Flag items that require attention:
Provide:
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