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bank-rec

Performs bank reconciliations between a bank statement export and GL cash detail. Use when the user provides a bank statement file (CSV, XLSX, or PDF) and a GL cash detail file and asks to reconcile, match transactions, identify outstanding items, or produce a bank rec workpaper. Outputs a matched/unmatched workbook, aged reconciling items, proposed adjusting JEs, and an evidence table.

Resumen

Performs bank reconciliations between a bank statement export and GL cash detail. Use when the user provides a bank statement file (CSV, XLSX, or PDF) and a GL cash detail file and asks to reconcile, match transactions, identify outstanding items, or produce a bank rec workpaper. Outputs a matched/unmatched workbook, aged reconciling items, proposed adjusting JEs, and an evidence table.

Comando de instalación
npx skills add https://github.com/dtsong/accounting-skills --skill bank-rec

Copia y pega este comando en Claude Code para instalar la habilidad

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Actualizado19 de mayo de 2026, 08:30
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