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Duplicate Mappings while using Data Management in FCCS

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edited Oct 14, 2017 3:26PM in Financial Consolidation and Close 3 comments

Summary

Unable to delete/identify duplicate mappings

Content

Hi,

I am using the same FCCS application as both a source and a target and have set it up in Data Management to move data from one point of view to another for a client I am working on at the moment. The problem I am experiencing when i go to reconcile my data is that I see values being loaded to both Entity Currency and Parent Currency and it is messing up my reconciliation. I am seeing the correct values being loaded for the movement closing balance in Entity Currency on the drill through but when I review the

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