bank-statement-ocr-and-account-reconciliation

Extract bank statement data via OCR and reconcile accounts using AgentPMT's API.

Updated Feb 24, 2026
One-click install
npx skills add https://github.com/AgentPMT/agent-skills --skill bank-statement-ocr-and-account-reconciliation
Or copy as Structured Prompt for Agent
Please help me install this Agent Skill.
Skill: bank-statement-ocr-and-account-reconciliation
Source: https://github.com/AgentPMT/agent-skills/tree/main/skills/bank-statement-ocr-and-account-reconciliation
Command: npx skills add https://github.com/AgentPMT/agent-skills --skill bank-statement-ocr-and-account-reconciliation

SYSTEM DOCUMENTATION & REQUIREMENTS

What problem does it solve?

This skill automates the process of extracting information from bank statements using OCR and reconciling account data, streamlining financial operations.

Core Features & Use Cases

  • OCR for Bank Statements: Extracts text and data from scanned or image-based bank statements.
  • Account Reconciliation: Compares extracted data against expected records to identify discrepancies.
  • Use Case: Automatically process monthly bank statements to verify transactions, detect errors, and ensure financial records are accurate.

Quick Start

Use the bank-statement-ocr-and-account-reconciliation skill to process the attached bank statement PDF.

Frequently Asked Questions about bank-statement-ocr-and-account-reconciliation

High-intent search queries and answers about installing and using this skill.

FAQPage Schema
How do I automate bank statement OCR and account reconciliation?

You can automate bank statement OCR and account reconciliation by using this skill to process attached PDFs. It extracts text from scanned statements and matches transactions against expected records to detect financial errors.

What is the best way to extract transaction data from scanned bank statements?

Using OCR automation is the best way to extract transaction data from scanned bank statements. This skill processes image-based financial documents, extracting text and data to streamline monthly verification workflows.

Do I need EIP-191 signing to process financial data with this automation?

Yes, EIP-191 signing is required to process financial data with this automation. It secures API interactions for wallet authentication and credit management via x402 payments or job earnings during reconciliation.

How does account reconciliation automation handle wallet authentication and credit management?

Account reconciliation automation handles wallet authentication through secure EIP-191 signing. Credit management is processed via x402 payments or job earnings to execute financial data workflows through the external API.

Can I use this OCR automation to process monthly bank statements and detect transaction errors?

Yes, this OCR automation can process monthly bank statements and detect transaction errors. It compares extracted data against expected records to verify transactions and ensure financial records are accurate.