top of page
About the Agent
The Financial Statement Reconciliation Assistant is an intelligent automation tool that streamlines the complex process of comparing and matching financial records. It analyzes bank statements, general ledgers, balance sheets, and transaction records to identify discrepancies, flag inconsistencies, and ensure all accounts are properly balanced. The assistant automatically matches transactions, highlights exceptions, and generates reconciliation reports, reducing manual effort by up to 80%. Essential for accountants, finance teams, and auditors who need to maintain accurate financial records while minimizing human error and saving valuable time during month-end and year-end closes.

bottom of page