Cfo Reconcile

Match bank statement balances to ledger balances. Find discrepancies, verify every account, flag anomalies. Generate balance assertions. Use at month-end to verify your books match reality. CLEAR step: E (Extract)

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mikechongcan/cfo-stack/tree/main/skills/reconcile commit d4b1e259bd

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npx skillmds@latest add mikechongcan/cfo-reconcile