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Three way match with a pass through report

edited Jul 6, 2021 6:22PM in Account Reconciliation 2 comments

Summary

When we run the automatch, we do not receive an error but we are not able to see any matches.

Content

We are using transaction matching to reconcile from 3 different data sources, in which each data source has common data columns between 2 sources. A=B;B=C in the end the match is on A and C.  B is being used as a pass through and does not have dollar amounts it contains columns that A and C do not have in common.  

When we run the automatch, we do not receive an error but we are not able to see any matches.

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