Tiller keeps all your business financial data in one place for you by automatically pulling in transactions and balances into your Google Sheet. The Tiller Simple Business Spreadsheet goes a step further by allowing you to manually add transactions through our add-on, flag them for reconciliation, and then later reconcile and merge them when Tiller brings in the match. It also offers workflows for balancing your bank statement to your transactions list. 

These are optional steps that you may or may not need or use depending on your business’ workflows and reporting needs.

All about reconciling:

  1. How to manually add transactions
  2. How to reconcile a manually added transaction
  3. How to turn on the reconcile auto trigger
  4. How to reconcile your bank statements
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