The Checks tab puts every check the statements hide in one place
Checks used to sit mixed into the transaction ledger, easy to miss and hard to total. Now they get their own tab in a project, pulled out of the statements and lined up on their own.
A real checks list. See every check the app pulled from the statements, sortable, with the date, description, and amount. Each check's Kind shows whether it was written from the account (money out) or paid to the account holder (money in).
A running count of what you have. Summary cards total the checks and split inflows from outflows, and a discovered-accounts card and table surface the drawer accounts printed on the checks, including accounts you did not know were in play.
Daystrom can work the same data in chat, so you can ask it to total the checks written to a given payee or compare check activity across months.