israeli-bank-reconciliation
OfficialReconcile Israeli bank accounts
Finance & Accounting#bookkeeping#financial reporting#transaction matching#accounting automation#bank reconciliation#israeli banks
Authorskills-il
Version1.0.0
Installs0
System Documentation
What problem does it solve?
This Skill automates the time-consuming process of reconciling bank statements with accounting records, identifying discrepancies, and flagging suspicious transactions for Israeli businesses.
Core Features & Use Cases
- Automated Bank Transaction Fetching: Connects to major Israeli banks (Leumi, Hapoalim, Discount, Mizrahi) to scrape transaction data.
- Intelligent Matching: Matches bank transactions to invoices and receipts using configurable rules (exact, fuzzy, pattern-based).
- Discrepancy & Anomaly Detection: Identifies unmatched transactions, potential duplicates, and unusually large amounts.
- Report Generation: Produces clear reconciliation reports detailing matched, unmatched, and suspicious items.
- Use Case: A small business owner can use this skill at the end of the month to automatically match all credit card and bank transactions against their recorded sales and expenses, ensuring financial accuracy and saving hours of manual work.
Quick Start
Use the israeli-bank-reconciliation skill to reconcile my Hapoalim bank account for the last month against my exported accounting records.
Dependency Matrix
Required Modules
israeli-bank-scraperscsv-parsecsv-stringifydayjsofx-js
Components
scriptsreferences
💻 Claude Code Installation
Recommended: Let Claude install automatically. Simply copy and paste the text below to Claude Code.
Please help me install this Skill: Name: israeli-bank-reconciliation Download link: https://github.com/skills-il/accounting/archive/main.zip#israeli-bank-reconciliation Please download this .zip file, extract it, and install it in the .claude/skills/ directory.
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