Automate
bank account reconciliation

Reconcile bank and credit card statements with ease. Our intelligent matching algorithm lets you precisely identify and match transactions between your bank statement and accounting records.

Lockup of a person checking bank statements, and a stylized image of line items from a bank feed.
A person checks paper documents with a laptop in front of them.

See your overall banking
and financial picture at a glance

Monitor current cash on hand, balances across accounts (banks and credit cards), uncategorized transactions, matched entries between your bank statement and Zoho Books—all in one place!

Zoho Books banking module seen on a screen with cash on hand, bank balance and other details plotted on a graph. Options to fetch bank feeds directly from bank and upload statments manually are also seen.

Connect banks.
Automatically fetch bank feeds

Securely connect multiple bank and credit cards to automatically fetch bank statements periodically through third party partners/providers

Auto-forward bank
statements from your email inbox

Bring your periodic bank statements from the email inbox into Zoho Books directly, for effortless reconciliation. We support CSV, TSV, XLS, OFX, QIF,CAMT.053, and PDF formats. Please note that all PDF files are imported into Zoho Books via Perfios.

Import
bank feeds manually

Not automating? No problem! Easily populate bank transactions in Zoho Books by manually importing statements in csv, tsv, xls, ofx, qif, camt.053/54, or PDF formats. Please note that all PDF files are imported into Zoho Books via Perfios

Categorize and
create transactions

Experience the intelligent matching algorithm to power through your bank statement and match them with Zoho Books records.

Set Bank transaction rules

identify those repetitive bank charges, utility payments, transfers, or subscriptions. No more manual data entry. Use custom bank rules to even automatically create transactions or entries in Zoho Books. Free up time to focus on what matters most.

New rule creation tab with fields for setting up criteria with conditions and rules.

Categorize manually

Create a new transaction directly from your bank statement with just a few clicks. No need to worry if there's no matching transaction in Zoho Books or if you don’t have a rule for that transaction. Just pick the line item on your bank feed and create it on the spot – it's that easy!

Bank feed item is categorized as an automobile expense manually

Perfecting bank reconciliation statements

Experience the intelligent matching algorithm to power through your bank statement and match them with Zoho Books records.

Add transactions from
the banking module

Record any accounting transactions directly from your credit card or bank feed a cash deposits, transfers, advance or refunds.

Adjust transactions
to balance mismatches

Balance any differences while matching, say from discounts, transaction charges, and other fees to ensure your books are perfectly balanced.

Exclude duplicate and
irrelevant transactions

Zoho Books automatically identifies and eliminates duplicate transactions from your bank statements (or you can personally verify and remove them too).

Secure access
and record keeping

Reconciliation reports

Quickly access bank opening and closing balances, categorized and uncategorized transactions, and those transactions pending matches. Filter by date or bank account and export comprehensive PDF bank reconciliation statements as you need.

List shows unmatched transactions and unreconciled bank statements.

Attach files to reconciliations

Attach essential documents directly to reconciliations. This includes bank statements, check copies, and deposit receipts, keeping everything organized and readily accessible for future reference.

File attachment options see against a bank reconciliation statement.

Secure access to banking module

Provide secure, role-based access to the banking module. Further ensure only authorized users can access branch-linked bank accounts. Safeguards sensitive data and offer seamless access.

Checkboxes seen against access items and privileges like full access, view, edit, delete permissions.

Ensure a smooth financial close
with accurate reconciliation

Close the books with ease! Everything's in order transactions are matched, categorized, and ready for your review. Now you can close the reconciliation process with complete confidence.

Final reconciliation statement for the month of January. The transaction and date columns are visible.