# The statement vault

> Every bank statement stored against its reconciliation, so the auditor package assembles itself.

Section: Banking · Canonical: https://intubu.intuitivecapital-dai.com/docs/statement-vault

Banking → Vault.

Statements are fetched or uploaded and filed against the account and period they belong to.

**Why it exists:** at year end, the single most tedious request from an accountant is twelve months of statements for every account. The vault has already collected them.

**The auditor package** exports, for a chosen period and set of accounts: each statement, the reconciliation that used it, the reconciliation discrepancy report, and the closing balance proof — as one archive.

**Gaps are visible.** A missing month is shown as missing rather than being an absence you have to notice.
