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---
name: reconcile
description: "Reconcile the daily ledger against bank exports"
---
# Reconcile
## Workflow
1. Pull the day's export into `data/exports/`.
2. Run `go run ./cmd/reconcile --date <YYYY-MM-DD>`.
3. Any unmatched row over $50 stops the run and is reported, never guessed.
4. Write the summary to `data/reports/<date>.md`.
## Never
- Never edit an export file. They are the source of truth.
- Never auto-match on amount alone.