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Automate bank statement and invoice reconciliation with GPT and Google Sheets

🟢 Manual Trigger Workflow starts manually to initiate the reconciliation process on demand. 📄 Fetch Invoices & Bank Statements Retrieves invoice data and bank statement data from Google Sheets for comparison. 🔀 Merge Data Combines both datasets into a single structured dataset for processing. 🧩 Format Payload for AI Function node prepares and structures the merged data into a clean JSON payload for AI analysis. 🤖 AI Reconciliation AI Agent analyzes the invoice and bank statement data to identify matches, discrepancies, and reconciled entries. 🧮 Parse AI Output Parses the AI response into a structured format suitable for adding back to Google Sheets. 📊 Update Sheets Adds the reconciled data and reconciliation results into the target Google Sheet for recordkeeping. 🧾 Prerequisites ✅ OpenAI API Credentials Required for the AI Reconciliation node to process and match transactions. Add your OpenAI API key in n8n → Credentials → OpenAI. ✅ Google Sheets Credentials Needed to read invoice and bank statement data and to write reconciled results. Add credentials in n8n → Credentials → Google Sheets. ✅ Google Sheets Setup The connected spreadsheet must contain the following tabs: Invoices – for invoice data Bank_Statement – for bank transaction data Reconciled_Data – for storing the AI-processed reconciliation output ✅ Tab Structure & Required Headers Invoices Sheet Columns: Invoice_ID Invoice_Date Customer_Name Amount Status Bank_Statement Sheet Columns: Transaction_ID Transaction_Date Description Debit/Credit Amount Reconciled_Data Sheet Columns: Invoice_ID Transaction_ID Matched_Status Remarks Confidence_Score ⚙️ n8n Environment Setup Ensure all nodes are connected correctly and the workflow has permission to access the required sheets. Test each fetch and write operation before running the full workflow.

Chintan PrajapatiBy Chintan Prajapati
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