Automated bank reconciliation for bookkeepers — works from your spreadsheet.
Ficha actualizada:25 de agosto de 2026
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Información general
LedgerMatch is automated bank reconciliation software for bookkeepers, accountants, and accounting firms. Reconcile bank statements with QuickBooks Online or Xero exports — without manual spreadsheet work or bank feeds.

Import your bank statement and accounting export CSV into separate spreadsheet tabs. LedgerMatch automatically detects the relevant columns, then runs transaction matching across four tiers: exact, near-match, split, and grouped. Unmatched and duplicate transactions are flagged as exceptions. Results export as a clean reconciliation report ready for client review or sign-off.

FEATURES
• Automated transaction matching — exact, near-match, split, and many-to-one
• Automatic column detection (Date, Amount, Description, Reference)
• Flags unmatched and duplicate transactions as exceptions
• Multiple client workspaces for accounting firms and bookkeeping practices
• Exports a reconciliation report for review and sign-off
• No bank connection required — works directly from CSV exports
• Free plan; paid plans for higher limits, additional workspaces, and team features

HOW TO USE
1. Open a spreadsheet and choose Extensions, LedgerMatch, Open LedgerMatch.
2. Click Connect my account and verify your email.
3. Confirm the connection and select a client workspace.
4. Import your bank statement and ledger tabs.
5. Click Reconcile now, review exceptions, and export the results.

WORKS WITH
• QuickBooks Online CSV exports
• Xero CSV exports
• Any standard bank statement CSV

LedgerMatch replaces manual month-end close work in spreadsheets. It is the fast, low-cost alternative to bank feeds — purpose-built for bookkeepers and accounting firms that do account reconciliation for multiple clients every month.

A free plan is available with optional paid features for higher limits, additional workspaces, and team features.

LedgerMatch is independent software and is not affiliated with Intuit or Xero.
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Términos del Servicio
LedgerMatch — Bank Reconciliation for Spreadsheets solicitará los permisos que se indican abajo. Más información
LedgerMatch — Bank Reconciliation for Spreadsheets necesitará acceder a tu cuenta de Google
Con este permiso, LedgerMatch — Bank Reconciliation for Spreadsheets podrá:
Ver y administrar hojas de cálculo en las que se ha instalado esta aplicación.
Ver y administrar datos asociados a la aplicación.
Mostrar y publicar contenido web externo en las solicitudes y barras laterales de las aplicaciones de Google
Ver la dirección de correo electrónico principal de tu cuenta de Google.
Consultar tu información personal, incluida la que has compartido públicamente
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