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bank-reconciliation

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UpdatedJune 21, 2026 at 00:45

Reconcile a bank or credit-card account: tie the GL to the statement, match cleared items, list outstanding and unmatched items, catch duplicates and timing/NSF differences, then compute and explain the reconciling difference to the penny. Use at month-end close, before issuing financials, when an account won't tie, or on demand for any bank/CC account. Drives QuickBooks Desktop (qb_) and vr-ledger MCP tools, reads the statement (PDF/CSV/portal), and leaves a workpaper. Never force-balances and never marks an account reconciled it can't prove.

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