AI Agents
Multi-agent workflows for accounting tasks like bank reconciliation, journal entries, and month-end close
AI Agents
AI Agents provide intelligent, multi-agent workflows to automate complex accounting tasks. Each agent session guides you through specific workflows with AI assistance.
Overview
The AI Agents module offers:
- Bank Reconciliation — Match bank statements to ledger entries
- Journal Entries — Generate double-entry journals from documents
- Bulk Classification — Categorize transactions in bulk
- Month-End Close — Full month-end workflow with checklist
- Enhanced Review — AI-assisted transaction review
Getting Started
Accessing AI Agents
Navigate to Accounting > AI Agents from the main menu.
Starting a Session
- Click New Session or select a workflow from Quick Start
- Choose the workflow type
- Optionally select a client (if you have engagements)
- Give the session a title (e.g., "December 2025 Reconciliation")
- Click Start Session
Workflow Types
Bank Reconciliation
Match bank statement transactions to your ledger entries with AI assistance.
What it does:
- Imports bank statement data
- Suggests matches based on amount, date, and description
- Highlights discrepancies for review
- Auto-matches high-confidence pairs
When to use:
- Monthly bank reconciliation
- Catching missing transactions
- Verifying account balances
Journal Entries
Generate double-entry journal entries from uploaded documents.
What it does:
- Analyzes invoices, receipts, and bills
- Creates proper debit/credit entries
- Applies correct account codes
- Handles multi-line entries
When to use:
- Processing batches of documents
- Creating entries from invoices
- Posting adjusting entries
Bulk Classification
Categorize multiple transactions at once with AI suggestions.
What it does:
- Analyzes transaction descriptions
- Suggests categories with confidence scores
- Learns from your corrections
- Applies rules to similar transactions
When to use:
- Imported bank transactions
- Uncategorized expenses
- Cleaning up transaction history
Month-End Close
Complete month-end workflow with automated checklist and verification.
What it does:
- Guides through closing procedures
- Verifies account balances
- Generates required journals
- Creates closing report
When to use:
- Monthly accounting close
- Preparing for reporting
- Audit preparation
Enhanced Review
AI-assisted transaction review with confidence scoring.
What it does:
- Flags suspicious transactions
- Highlights duplicates
- Suggests corrections
- Provides confidence scores
When to use:
- Quality control review
- Pre-audit preparation
- Catching errors
Session Dashboard
Statistics
The dashboard shows:
| Stat | Description |
|---|---|
| Total Sessions | All sessions created |
| Active | Currently running sessions |
| Completed | Successfully finished sessions |
| Pending Questions | Sessions waiting for your input |
Session Status
| Status | Meaning |
|---|---|
| Active | Session is running, AI is processing |
| Waiting | Session needs your input to continue |
| Completed | All tasks finished |
| Failed | Session encountered an error |
| Cancelled | Session was cancelled |
Pending Questions
When an AI agent needs clarification, it will pause and wait for input. Sessions with pending questions show a notification badge.
Common questions include:
- Ambiguous transaction classification
- Missing account mappings
- Conflicting information
- Approval for large batches
Working with Sessions
Session View
Each session shows:
- Task List — Steps being executed
- Progress — Completed vs total tasks
- Questions — Any pending input needed
- Results — Output from completed tasks
Answering Questions
When a session asks a question:
- Review the context provided
- Select an answer or provide input
- The session continues automatically
Session History
View all your sessions in the Recent Sessions list:
- Filter by status
- See task completion progress
- Resume waiting sessions
- Review completed results
Tips
For Best Results
- Provide clean data — Well-formatted statements process faster
- Answer promptly — Waiting sessions don't auto-continue
- Review suggestions — AI confidence isn't always 100%
- Name sessions clearly — Makes history easier to navigate
Common Workflows
Monthly Routine:
- Run Bank Reconciliation at month start
- Process Journal Entries mid-month
- Complete Month-End Close
Bulk Import:
- Upload bank statements to compiler
- Run Bulk Classification on transactions
- Use Enhanced Review to catch errors
Audit Prep:
- Run Enhanced Review on date range
- Complete reconciliation for all accounts
- Generate closing reports