Transaction Matching - Export journals for many match types
I try to export all the journal adjustments of the day in one integration. The adjustments come from many match types.
I have created an integration with source "Account Reconciliation Journal Adjustment" and target "Data export to On Premise Database".
In the option tab of the integration, in filters : Match Type In MatchType1,MatchType2
The integration ends with warning.
The amounts of both match types are in the journal file created, but all the other journal columns are empty.
When I change the filter to Match Type == MatchType1 or MatchType2, then the journal columns are correctly filled in.
I don't want to run the integration many times, especially since I'm running it with EPM automate and I can't add the Match Type value in any parameter in the EPM automate runIntegrations command.