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.
Once the definition is created, you can run the reconciliation on demand via Reconciliations > Configuration. To do so:
Navigate to the Group reconciliations tab and locate the reconciliation definition you wish to run.
Select the Menu icon > Run.
.png?sv=2026-02-06&spr=https&st=2026-08-25T08%3A23%3A08Z&se=2026-08-25T08%3A34%3A08Z&sr=c&sp=r&sig=yhYa3Ora2N3WiF72djPfHyFaQ02ulvbcUa6NSIdX%2BHU%3D)
In future, LUSID will enable you to set up a schedule to automate reconciliation runs at chosen times.
Scheduling a reconciliation
Coming soon