Comparable sources
Compare transactions and balances for the same period and currency.
Find differences between bank and accounting records.
The product is in development. The areas below describe the planned scope; they are not release commitments or completed capabilities.
Compare transactions and balances for the same period and currency.
Identify unmatched entries and differences that need explanation.
Retain context and explanations for reconciliation at period close.
Next: validate real workflows, prioritise the scope and discuss testing when access becomes available. No public launch date has been confirmed.