Bank Recon Skill
/install bank-recon-skill
Bank Reconciliation Skill
Reconcile bank statement rows against GL rows and produce an .xlsx workbook that is immediately reviewable by an accountant.
Workflow
- Identify the bank statement path and GL workbook path.
- Accept either a bank statement
.xlsxfile or a bank statement.pdffile. - If the bank statement is a PDF, run the workflow so it first extracts the bank statement lines into a structured workbook, then reconciles that extracted workbook to the GL.
- Confirm the reconciliation threshold. Default to
0.00unless the user asks for a tolerance. - Run
scripts/recon_logic.pywith the bank file, GL file, output file, and threshold. - Return the generated workbook and summarize:
- matched bank row count
- matched GL row count
- unreconciled bank row count
- unreconciled GL row count
- If the user asks for follow-up analysis, use the
Summary,Unreconciled Bank, andUnreconciled GLtabs first.
Output Workbook
The generated workbook should contain these tabs:
Summary: threshold, matched counts, unreconciled counts, and basic totalsRecon Results: matched groupings with match basis and variance notesUnreconciled Bank: bank rows not matched to the GLUnreconciled GL: GL rows not matched to the bank
Command
python3 scripts/recon_logic.py \x3Cbank_xlsx_or_pdf> \x3Cgl_xlsx> \x3Coutput_xlsx> [threshold]
When the bank input is a PDF, the script also creates a companion extracted workbook beside the PDF (same basename with _extracted.xlsx) before running reconciliation.
Matching Logic
Use a layered approach:
- Preserve the original signs from both source files in the output.
- Compare bank and GL amounts using absolute values for matching so bank polarity and accounting debit/credit polarity can reconcile without rewriting displayed source amounts.
- Match by shared extracted keys such as batch IDs, invoice IDs, vendor IDs, customer IDs, and tax/payment references.
- Allow one-to-one, one-to-many, many-to-one, and grouped many-to-many matches when totals fall within threshold.
- For remaining items, use semantic name grouping plus summed-amount comparison.
- Preserve unmatched rows in dedicated tabs instead of dropping them from the deliverable.
Notes
- Read the first worksheet from each input workbook.
- Expect simple three-column inputs: date, amount, description/memo.
- For text-based bank statement PDFs, the script extracts transaction rows by reading the PDF content streams and reconstructing the transaction table into a workbook.
- The PDF path is best for digital statements with selectable text; scanned-image PDFs would still need OCR or a multimodal extraction path.
- Keep the workbook generation dependency-light so it can run in minimal Python environments.
- Make sure OpenClaw is installed (local or Docker)
- Run the install command in chat:
/install bank-recon-skill - After installation, invoke the skill by name or use
/bank-recon-skill - Provide required inputs per the skill's parameter spec and get structured output
What is Bank Recon Skill?
Perform bank reconciliation between bank statements and general ledger files. Supports bank statement PDF ingestion, conversion of PDF statements into struct... It is an AI Agent Skill for Claude Code / OpenClaw, with 121 downloads so far.
How do I install Bank Recon Skill?
Run "/install bank-recon-skill" in the OpenClaw or Claude Code chat to install it in one step — no extra setup required.
Is Bank Recon Skill free?
Yes, Bank Recon Skill is completely free, licensed under MIT-0. You can download, install and use it at no cost.
Which platforms does Bank Recon Skill support?
Bank Recon Skill is cross-platform and runs anywhere OpenClaw / Claude Code is available (cross-platform).
Who created Bank Recon Skill?
It is built and maintained by ChipmunkRPA (@chipmunkrpa); the current version is v1.0.2.