lim bank
bank covers cash-account setup and transaction matching.
Commands
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lim bank list
lim bank create --name "Main Account"
lim bank show <bank-id>
lim bank transactions <bank-id>
lim bank match <bank-id> <tx-id> --accountId <account-id>
lim bank link <bank-id> <tx-id> --journalEntryId <journal-id>
lim bank unmatch <bank-id> <tx-id>
lim bank exclude <bank-id> <tx-id> --status excluded
lim bank auto-match <bank-id>
lim bank reconciliation <bank-id>
Typical reconciliation loop
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lim bank transactions <bank-id> --status unmatched
lim bank auto-match <bank-id>
lim bank reconciliation <bank-id> --asOf 2026-03-31
Use
bank link when a journal entry already exists, and bank match when the bank transaction
should create a new accounting relationship.