Reconciliation Pack
Assembles each account reconciliation with its statement, tie-out, and open items in one place.
Part of Bank and GL Reconciliation
Tools
HighRadius Autonomous Reconciliation, BlackLine, NetSuite
Outcomes
One pack per account instead of five files • Reviewer sign-off recorded in place
Documentation
Instruction-ready detail below
<in:schedule>On the last business day of the month</in:schedule>, gather <in:documents>each account reconciliation with its statement</in:documents> and <email>email</email> the reviewer the accounts still open.