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REST API or WS SOAP for update recon status on bank statement and system transactions

Summary:

Need to crear a custom process for reconciliation for Cash Management

Content (please ensure you mask any confidential information):

Cannot create a standard rule with Reconciliation Matching Rules.

So we are looking for creating a custom process in OIC for match recon bank statements and system transactions using REST API or WS SOAP.

Is there any REST API or WS SOAP to update bank statement and system transactions reconciliation statuses or another way to do something like this?

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