ACCOUNTANT TOOLS
Bank Reconciliation
Compare bank statement and bookkeeping transactions to identify matches and items needing review.
Enter both files using matching column headers.
Matching uses exact amount text; bank entries also compare description and dates within three days. GSTR-2B matching uses GSTIN, invoice number and taxable value. Review every suggested match.
Review all outputs before use
These tools process entries in your browser and do not submit data to tax authorities, banks, or accounting platforms. Calculations and generated files are drafts, not tax, legal, or accounting advice, and may not match current statutory or vendor-specific formats. Verify every figure and requirement with official sources or a qualified professional before relying on or filing results.
Uploaded files and entered data remain in this browser session. Avoid entering unnecessary personal, tax, or banking information. Scanned-document text detection depends on browser support and is not a substitute for reviewing the original document.