| name | reconcile-accounts |
| description | Reconcile bank and balance-sheet accounts to source before any statement ships. Reach for this first on any reporting question. |
Skill: Reconcile accounts
Un-reconciled accounts produce authoritative-looking, wrong numbers (§3 #2).
Step 1 — List the accounts
Every bank/CC/balance-sheet account requiring a tie-out.
Step 2 — Tie to source
Match each to an independent statement; investigate variances (§3 #2).
Step 3 — Clear reconciling items
Outstanding checks, deposits in transit, timing differences.
Step 4 — Gate the report
Don't ship statements until accounts reconcile (§3 #2).
Output
A reconciliation status gating the report. Traverse Tree 3 in the decision-trees file.