SkillsLib.ai

FreshBooks Financial Analysis & Reconciliation

Master FreshBooks data to optimize cash flow, classify expenses, and close accounts

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100+ downloads
Updated Sep 2026

What You Can Do

Analyze your complete FreshBooks financial data to identify cash flow bottlenecks, automatically classify expenses for tax deductions, reconcile accounts against bank statements, and uncover billing optimization opportunities. This skill transforms raw transaction data into actionable financial insights and generates audit-ready reconciliation reports.

Features

Cash Flow Analysis

Identifies monthly spending patterns, seasonal trends, and liquidity gaps to forecast future cash position

Automated Expense Classification

Tags and categorizes transactions for tax deductions, compliance, and budget analysis

Account Reconciliation

Compares FreshBooks records against bank statements to identify discrepancies and timing differences

Invoice Aging & Payment Analysis

Tracks overdue invoices, average days to payment, and payment pattern trends

Duplicate & Anomaly Detection

Flags suspicious transactions, duplicate charges, and unusual payment amounts

Tax Deduction Optimization

Recommends legitimate expense categorizations to maximize tax deductions by industry

Billing Strategy Review

Analyzes pricing tiers, payment terms, and client profitability to optimize revenue

Reconciliation Report Generation

Creates detailed, audit-ready reconciliation documents with supporting schedules

Example Output

Cash Flow Summary (Jan–Mar 2026)

  • January: $47,200 in, $23,840 out → $23,360 net
  • February: $52,100 in, $25,610 out → $26,490 net
  • March: $38,900 in, $24,165 out → $14,735 net (⚠️ declining trend)
  • Recommendation: Accelerate collection for March invoices; 3 clients average 38 days to pay.

Top Expense Categories (Q1)

CategoryAmountDeductible?Tax Impact
Office Supplies$1,240✓+$310 deduction
Client Meals$890⚠️ 50%+$112 deduction
Software Licenses$3,150✓+$788 deduction

Reconciliation Exceptions

  • Pending ACH transfer: $5,000 (cleared in bank, not yet in FreshBooks)
  • Unmatched charge: $340 on 2026-03-15 (investigate: possible duplicate payment)
  • Timing difference: Expense recorded 2026-04-02, payment cleared 2026-03-30

What's Included

  • SKILL.md: Complete FreshBooks analysis workflow with decision trees for classification, reconciliation, and optimization
  • Expense Classification Template: Predefined categories by industry (freelance, SaaS, consulting, e-commerce)
  • Reconciliation Checklist: Step-by-step process for matching transactions and resolving discrepancies
  • Cash Flow Analysis Worksheet: Monthly/quarterly trend templates with variance analysis
  • Tax Deduction Guide: Industry-specific deduction strategies and compliance rules
  • Invoice Aging Report Template: Automated tracking of overdue amounts and payment terms

Who It's For

  • Freelancers and contractors managing cash flow across multiple projects
  • Bookkeepers and accountants closing books monthly or quarterly
  • Small business owners optimizing expenses and tax position
  • Financial controllers reconciling accounts and forecasting cash
  • Accountants preparing tax returns and identifying deduction opportunities

Best For

  • Monthly or quarterly account reconciliation and discrepancy investigation
  • Tax deduction optimization before filing season
  • Cash flow forecasting and working capital planning
  • Expense categorization audits and compliance review
  • Invoice aging analysis and collection strategy refinement

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