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Solution

freee — 口座残高照合 / Bank (Walletable) Reconciliation

Reconciling bank accounts in freee means manually opening each 口座, pulling balances, and verifying them against the ledger — a repetitive process that is easy to skip and difficult to audit, especially when multiple accounts are in scope. Unreconciled balances create discrepancies between actual cash positions and freee book records, complicating cash flow reporting and JCT period-end filings.

Optional egress (declared)

Version
1.0.0
Category
Financial
by
Evntx FZCO
License
proprietary
Requires
freee

Egress

RequiresHost
piece.connectoryour-configured-connector-hostshttpsOnly the business systems you connect (freee)
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