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Why do I need to reconcile every month?

Reconciliations verify completeness, catch errors or fraud, and confirm true cash—bank feeds aren’t a control.

Bank feeds miss, duplicate, or misclassify transactions. Reconciling your GL to statements each month confirms every item is recorded once—and only once—while surfacing timing differences and suspicious activity. Document reconciling items, investigate anything stale over 60–90 days, and keep statements on file.

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