🟢 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.