一键导入
bank-reconciliation
Reconcile bank GL to statement at RM0. Use when bank recon or cash doesn't match.
用 Codex 或 Claude 帮你安装 复制这段 Prompt,粘贴到 Codex、Claude 或其他助手里,让它检查 Skill 页面并帮你完成安装。
菜单
Reconcile bank GL to statement at RM0. Use when bank recon or cash doesn't match.
用 Codex 或 Claude 帮你安装 复制这段 Prompt,粘贴到 Codex、Claude 或其他助手里,让它检查 Skill 页面并帮你完成安装。
基于 SOC 职业分类
| 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.