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Bookkeeping / Bank Transactions

Bank Transactions Overview

Understand the core Bank Transactions workflow in Truewind, including categorization, imports, reconciliation, and follow-up review.

What this workflow covers

Bank Transactions is the main area for reviewing imported transaction activity, validating categorization, and working through reconciliation-related tasks.

Common tasks

  • import transactions
  • review categorization
  • reconcile transactions
  • investigate exceptions and retries

Best place to start

If you are new to the workflow, start with the import guide and then move into the reconciliation guide once transactions are available.

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