Skill comparison
Use this as a shortlist, then open the skill detail page before adopting.
Decision summary
Strongest overall
reconciliation
Prototype with this skill first; keep a fallback candidate ready.
Fastest prototype
reconciliation
Best first install candidate based on install readiness and adoption.
Freshest repo
reconciliation
Most recent maintenance signal among this shortlist.
| Signal | reconciliation Design and operate reconciliation processes across portfolio management, custodian, and clearing systems. Use when building a daily position, cash, or transaction reconciliation process, investigating discrepancies between internal records and custodian records, diagnosing recurring break patterns from corporate actions or pricing differences, setting tolerance thresholds for position, cash, or market value matching, implementing three-way reconciliation, designing break investigation workflows with aging and escalation, normalizing multi-custodian feeds from Schwab, Fidelity, or Pershing, reconciling cost basis or accrued income, or preparing for examinations on books and records accuracy. |
|---|---|
| Quality | 63/100 Promising |
| Decision verdict | 62/100 Prototype first Prototype with this skill first; keep a fallback candidate ready. |
| Adoption | 178 stars Verified outcomes are shown on each skill page |
| Freshness | Jul 18, 2026 |
| Use-case fit | |
| Workflow fit | |
| Platform hints | Claude Code |
| Warnings | No OpenAgentSkill engagement data yet |
| Best for | Research agents workflows · Claude Code teams · builders willing to evaluate younger projects |
Skill comparison
Use this as a shortlist, then open the skill detail page before adopting.
Decision summary
Strongest overall
reconciliation
Prototype with this skill first; keep a fallback candidate ready.
Fastest prototype
reconciliation
Best first install candidate based on install readiness and adoption.
Freshest repo
reconciliation
Most recent maintenance signal among this shortlist.
| Signal | reconciliation Design and operate reconciliation processes across portfolio management, custodian, and clearing systems. Use when building a daily position, cash, or transaction reconciliation process, investigating discrepancies between internal records and custodian records, diagnosing recurring break patterns from corporate actions or pricing differences, setting tolerance thresholds for position, cash, or market value matching, implementing three-way reconciliation, designing break investigation workflows with aging and escalation, normalizing multi-custodian feeds from Schwab, Fidelity, or Pershing, reconciling cost basis or accrued income, or preparing for examinations on books and records accuracy. |
|---|---|
| Quality | 63/100 Promising |
| Decision verdict | 62/100 Prototype first Prototype with this skill first; keep a fallback candidate ready. |
| Adoption | 178 stars Verified outcomes are shown on each skill page |
| Freshness | Jul 18, 2026 |
| Use-case fit | |
| Workflow fit | |
| Platform hints | Claude Code |
| Warnings | No OpenAgentSkill engagement data yet |
| Best for | Research agents workflows · Claude Code teams · builders willing to evaluate younger projects |
| Not ideal for | teams that need a vendor-supported SLA · high-compliance environments without internal security review |
| OpenAgentSkill engagement | 0 views 0 install copies |
| Install | $ npx skills add JoelLewis/finance_skills --skill reconciliation |
| Not ideal for | teams that need a vendor-supported SLA · high-compliance environments without internal security review |
| OpenAgentSkill engagement | 0 views 0 install copies |
| Install | $ npx skills add JoelLewis/finance_skills --skill reconciliation |