Bank Transaction Reconciliation Tool

Bank Transaction Reconciliation Tool

This tool automates financial reconciliation for developers and small businesses. It compares exported bank statement CSVs with exported QuickBooks or Xero transaction data, flagging mismatches and generating a detailed report. Saves hours of manual spreadsheet work. Features Load and parse bank statement CSV exports Load and parse QuickBooks/Xero transaction CSV exports Fuzzy match transactions by date, amount, and description Generate reconciliation report with matched and unmatched items Export results to a clean, formatted CSV for review Usage reconcile --bank bank_statement....

<span title='2026-03-16 00:00:00 +0000 UTC'>March 16, 2026</span>&nbsp;·&nbsp;OddShop