Excel Reconciliation for Bank Activities or Bank Reconciliation

Hello all,

I am currently pursuing my RPA certificate and am actually attempting too build a few bots for my accounting company. Thinking about automating a bank activity (matching items from one excel to another) and automating the bank reconciliation. I was just wondering if anyone had any successes and wanted to share some tips, feedback, etc. I have found some great ideas and flows throughout the community but wanted to reach out and see what else can be helpful!

Thank you!

Hi :slight_smile: I saw your question and i have the same problem. Could you help me?