بنقرة واحدة
bank-reconciliation
Reconcile bank GL to statement at RM0. Use when bank recon or cash doesn't match.
التثبيت باستخدام Codex أو Claude انسخ هذا Prompt والصقه في Codex أو Claude أو مساعد آخر ليراجع صفحة Skill ويثبّتها لك.
القائمة
Reconcile bank GL to statement at RM0. Use when bank recon or cash doesn't match.
التثبيت باستخدام Codex أو Claude انسخ هذا Prompt والصقه في Codex أو Claude أو مساعد آخر ليراجع صفحة Skill ويثبّتها لك.
استنادا إلى تصنيف SOC المهني
| name | bank-reconciliation |
| description | Reconcile bank GL to statement at RM0. Use when bank recon or cash doesn't match. |
Prove cash. Tolerance: RM0.00.
shared/guardrails.md).~/.claude/plugins/config/claude-for-accounting/firm-profile.md if present.~/.claude/plugins/config/claude-for-accounting/{{plugin}}/CLAUDE.md if present.Statement balance
+ deposits in transit
- outstanding payments
± errors corrected
= GL balance
Repeat for every current account, savings, foreign currency (note FX).
Done when: per-bank recon on disk with difference 0.00 (or with limitation/blocker logged in state).
Bank recon schedule per account + combined cash note figure. If not RM0.00 → BLOCKER. Do not proceed to preliminary TB as clean.
Default for throw-work: dump a folder, "do the accounting", "sort my books", year end, prepare financial statements / MPERS pack without naming a stage. One intake then books; resumes from engagement_state.json. Depth-scoped done.
Human pack (HTML board) plus statements when depth needs them. Use when presenting books, opening the pack, or drafting FS/notes from adjusted TB.
Prove the job for this engagement depth (books scorecard or full QC).
Optional router if lost — which slash to use. Prefer saying do the accounting.
Scaffold clients/<slug> folder layout. Use when new client folder or workspace layout. Also the shelf step: organize scattered docs by entity and period before extract (see shared/shelf-first.md).
Firm profile cold-start (not a client dump). Use when set up the firm or first install.