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Guides
Complete, step-by-step workflows for the reconciliation tasks that matter most — from bank statement matching to payment processor audits.
A step by step guide to reconciling a bank statement against a ledger, payment processor report, or similar file using CSV or Excel exports, from export through a clean, audit ready report.
A guide for confirming that a Stripe payout landed correctly in the bank and that the individual charges inside it match your own sales records.
Match Shopify order totals against Stripe charges at the transaction level, then confirm Stripe payouts against bank deposits at the payout level, using CSV exports from each platform.
How to confirm that PayPal transactions match your internal records and that the transfers PayPal sent actually landed in the bank, using two separate reconciliation passes with the correct fields compared at each level.
A guide to running month-end close as a sequence of file-based reconciliations, in the right order, when there is no live bank feed or connected subledger tying everything together automatically.
A guide to running bank-to-ledger reconciliation across a full client roster each month without letting one client's files, mapping, or matching column bleed into another's.
A guide to checking a QuickBooks bank register against the actual bank statement outside QuickBooks, catching the kind of error its own Reconcile screen is built to miss.
A guide to confirming that what an agency actually spent on a client's behalf across ad platforms matches what the client was invoiced for that spend.
A guide for checking every charge, refund, and dispute in a payment processor's own export against what your ledger or invoice system expected to happen, and turning the exceptions into a report where nothing is left unexplained.
A guide for diagnosing why a month-end reconciliation will not tie out and getting it to a closable state before the deadline.