Finance139 runs

Reconciliation

Reconcile discrepancies across sources

Compare data from multiple sources like bank statements, database exports, and payment gateways to identify and flag discrepancies. Get a clear reconciliation report with flagged items.

Duplicate Agent

How It Works

Triggers
Time-based (end of day/month)Manual
Sources
CSV (bank statements, DB export, payment gateway)
PDF (statements)
Tools
SlackSlack
EmailEmail
Output
Reconciliation report with flagged discrepancies

Workflow

Trigger
Task
Action (needs approval)

Ready to Automate?

Duplicate this template and customize it to fit your specific workflow requirements.

Duplicate Agent