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Important
Some of the functionality described in this release plan has not been released. Delivery timelines may change and projected functionality may not be released (see Microsoft policy). Learn more: What's new and planned
| Enabled for | Public preview | General availability |
|---|---|---|
| Users by admins, makers, or analysts |
Apr 30, 2025 |
Sep 2026 |
Business value
The Account reconciliation agent streamlines period‑end reconciliation by combining intelligent matching, guided workflows, and automated resolution of discrepancies. As customer adoption continues to grow, we are investing in improved agent orchestration, higher‑quality matches, expanded module coverage, and better visibility through internal reporting and evaluations. Our goal is to evolve the agent from a “guided automation” model into a fully autonomous reconciliation orchestrator, capable of handling multimodule scenarios and increasingly complex enterprise accounting processes.
Feature details
We are refreshing the workspace to improve usability, efficiency, and transparency. This includes streamlined navigation, improved status tracking, enhanced visual indicators, and contextual insights displayed alongside agent‑generated suggestions.
- Intelligent matching enhancements: These include higher‑accuracy for 1:1, 1:many, and many matching; fuzzy logic and tolerance rule support; and autonomous exception classification.
- Bulk actions UX: We are adding bulk approval/rejection of matches, multiselect exception handling, bulk journal entry creation, and improved confirmation flows to reduce user effort and accelerate period close timelines.
We are making targeted investments in the following set of capabilities to strengthen and scale the autonomous agent:
- Agent feed: Onboarding the Account reconciliation agent on the unified AI ERP Agent feed to consolidated the stream of tasks, alerts, anomalies, and required human approvals. Prioritization logic based on risk, dollar value, and business rules. Ability to drill into exceptions directly from the task card.
- MCP integration: MCP enables the agent to evolve beyond siloed tasks into an end‑to‑end reconciliation orchestrator.
- Inventory module support: Addition of an inventory module subledger to the Account reconciliation workspace along with suggested actions from the Account reconciliation agent.
Process optimizations that boost stability, accelerate issue identification, and streamline agent operations:
- Internal reporting: Internal telemetry dashboards, automated detection of customer patterns, instrumentation for explainability, and early warning signals for anomaly spikes are being built to enhance reliability and supportability.
- Evals: We continue to strengthen evaluation frameworks—scenario-based tests across modules, stress/load evaluations, precision/recall tracking for match recommendations, safety handling evaluations, and regression coverage for consistent agent behavior.
Future releases will expand module coverage to Fixed Assets, Project Accounting, Intercompany, and more. The agent will evolve toward autonomous end‑to‑end reconciliation flows, richer cross‑system ingestion, predictive insights, and closed‑loop optimization through telemetry and eval feedback.
Geographic areas
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Language availability
Visit the Explore Feature Language report for information on this feature's availability.
Related content
Account Reconciliation Agent (production ready preview) (docs)
Apr 30, 2025