EasyReconcile simplifies financial reconciliation for small and medium-sized enterprises (SMEs) directly in Google Sheetsâĸ. Effortlessly match bank and sales transactions by uploading CSV files, and let EasyReconcile do the heavy liftingâsaving you time and reducing errors in your accounting process. With EasyReconcile, you can upload two CSV files (e.g., bank statements and sales records) containing columns for Date, Amount, Description, and an optional Order #. The intuitive sidebar interface, powered by the Google Sheetsâĸ API, allows you to configure matching settings, such as tolerance for amounts (e.g., $0.50) and date differences (e.g., 0 days), and choose whether to match by order number for greater accuracy. Once configured, click "Reconcile" to generate a new sheet named "Reconciliation_[date]" in your Google Sheetâĸ. Matched transactions are highlighted in green, while unmatched records are marked in red, making it easy to review discrepancies and finalize your reconciliation. Unlike standard Google Sheetsâĸ features, EasyReconcile automates complex financial reconciliation, offering a specialized solution for SMEs to streamline their accounting workflows. Designed for efficiency, EasyReconcile processes all data within your Google Sheetsâĸ environment, ensuring your financial information remains secure and privateâno data is collected, stored, or transmitted. Whether you're reconciling monthly statements or handling large transaction volumes, EasyReconcile enhances your productivity, helping you focus on growing your business. For more information, including setup guides and support, visit https://cantina.co.in/easyreconcile_support. Footnote: Google Sheetsâĸ is a trademark of Google LLC.