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How can Subledger Accounting create separate journal batches per transaction?

Summary:

Currently, Subledger Accounting groups accounting entries from multiple transactions into a single journal batch during journal creation. The requirement is to have each transaction's accounting entries posted in a separate journal batch to improve traceability, reconciliation, and transaction-level auditability.


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Version (include the version you are using, if applicable):

26B (11.13.26.04.0)



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