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Transaction Matching - Adjustments & Supported Process Flow

edited Dec 3, 2018 1:29PM in Account Reconciliation 6 comments

Content

Hi all, 

Was wondering if someone could shed some light on exactly the correct general process flow for using Transaction Matching.

I've used Compliance but am a bit new to Transaction matching. I wasn't really able to find the answers I needed reading the doco, which more so just describe how config occurs:

Broadly my understanding of the types are:

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