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how can we perform the cash reconciliations if we use same cash accounts for multiple bank accounts.

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Summary:

We are moving from old COA to New COA where in old COA we have a segment "Reconciliation Control" which is used for reconciliations and now we are eliminating this. How can we achieve reconciliation if we are using the same GL cash account at all the bank accounts since our customer doesn't want to create new accounts.

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