Reconciliation

JoelLewis/finance_skills/plugins/client-operations/skills/reconciliation

作者 JoelLewis5c498eacf7057e31238c4c5a8012a1afe9ec7c8a無授權條款收錄於 2026年10月9日更新於 2026年10月9日

Design and operate reconciliation processes across portfolio management, custodian, and clearing systems. Use when building a daily position, cash, or transaction reconciliation process, investigating discrepancies between internal records and custodian records, diagnosing recurring break patterns from corporate actions or pricing differences, setting tolerance thresholds for position, cash, or market value matching, implementing three-way reconciliation, designing break investigation workflows with aging and escalation, normalizing multi-custodian feeds from Schwab, Fidelity, or Pershing, reconciling cost basis or accrued income, or preparing for examinations on books and records accuracy.

僅含說明Business & Finance

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references/examples.md16.6 KBtext/markdown
SKILL.md34.4 KBtext/markdown

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來源:JoelLewis/finance_skills位於plugins/client-operations/skills/reconciliation提交5c498ea

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