---
title: "How do I run a reconciliation?"
slug: "how-do-i-run-a-reconciliation"
updated: 2025-07-04T16:25:49Z
published: 2025-07-04T16:25:49Z
canonical: "support.lusid.com/how-do-i-run-a-reconciliation"
---

> ## Documentation Index
> Fetch the complete documentation index at: https://support.lusid.com/llms.txt
> Use this file to discover all available pages before exploring further.

# How do I run a reconciliation?

You can run a reconciliation using a particular group reconciliation definition. The group reconciliation definition specifies:

- The portfolios/groups to run the reconciliation on
- The reconciliation rules to apply

[See how to configure a group reconciliation definition.](/v1/docs/how-do-i-configure-a-reconciliation-definition)

Once the definition is created, you can run the reconciliation on demand via **Reconciliations > Configuration**. To do so:

1. Navigate to the **Group reconciliations** tab and locate the reconciliation definition you wish to run.
2. Select the **Menu** icon > **Run**. ![](https://cdn.document360.io/d575ad81-c0ed-4980-bbd1-d59ac5c3de82/Images/Documentation/image(921).png)

In future, LUSID will enable you to set up a schedule to automate reconciliation runs at chosen times.

## Scheduling a reconciliation

*Coming soon*
