Create reconciliation entries from incoming bank statement emails

Your bank statement emails include attachments but lack tracked entries, forcing manual searches and slowing reconciliation. Automate logging so finance can reconcile reliably before each daily run.

Create reconciliation entries from incoming bank statement emails

Overview

Eliminate manual hunts for bank statement attachments by establishing a dependable ingestion flow. Engineering can deliver a timestamped, auditable feed so finance reconciles on schedule and completes daily closes reliably.

Create reconciliation entries from incoming bank statement emails