{
  "id": "11",
  "subject": "Add per-head detail sheets to Clearfast reconciliation",
  "description": "Rebuild workbook: Reconciliation Statement + one sheet per head (Opening, Bill, Bank, TDS, Settlements, Credit Notes, Debit Notes, Journal, Other) listing underlying entries with totals tying to the statement, plus Bills only in C&R / only in Clearfast / Amount Mismatches. Recalc + verify totals.",
  "activeForm": "Adding per-head detail sheets",
  "status": "completed",
  "blocks": [],
  "blockedBy": []
}